Marketplace
Model due diligence
BR-PPO Crypto V15
Higher-beta crypto allocation model intended for investors who can tolerate deeper swings in pursuit of stronger upside capture.
Reinforcement learningETHcryptopporlwaitlist
YTD return
-3.2%
Net model curve shown before investor allocation.
Sharpe
0.72
Return per unit of volatility.
Max drawdown
-18.4%
Largest historical peak-to-trough decline.
Win rate
44.1%
Share of profitable evaluated periods.
Annualized
+6.4%
Annualized return estimate from available curve.
Minimum
$20,000
Suggested account capital floor.
Daily Return Curve
InceptionMar 1, 2026
Latest value96.8
BenchmarkETH
Recent Model Evidence
| Date | Portfolio | Daily return | Signal | Review note |
|---|---|---|---|---|
| Mar 1, 2026 | 99.1 | +1.5% | Hold | Signal stayed inside approved exposure band. |
| Mar 11, 2026 | 97.2 | -1.9% | Rebalance | Position change reviewed against drawdown limits. |
| Mar 21, 2026 | 96.4 | -0.8% | Monitor | Telemetry and portfolio value reconciled. |
| Apr 1, 2026 | 97.1 | +0.7% | Hold | No abnormal model drift detected. |
| Apr 11, 2026 | 96.2 | -0.9% | Risk check | Risk surface reviewed before broker readiness. |
| Apr 21, 2026 | 96.8 | +0.6% | Hold | Evidence row accepted for allocation review. |
Evidence Before Allocation
Published model profile with structured return and drawdown context
Commercial access review, minimum capital, and subscription packaging
Broker-readiness and execution oversight before deployment
Continuous telemetry and operating state visible in the customer workspace
