Holds spot assets against short perpetual futures to collect funding payments. The position keeps market exposure close to zero.
Trades the price spread between correlated crypto pairs. A long position and a short position of equal size limit the market risk.
Buys spot assets and sells dated futures at a premium. The strategy holds both positions until the two prices converge at expiry.
This exciting new strategy is currently in development. Stay tuned for updates on its launch and features.
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