Invest with
a Risk-Adjusted Approach

Dollar Cost Averaging (DCA) is a fixed, regular investment method that reduces portfolio volatility risks but can limit profits and capital efficiency.

In contrast, Dynamic DCA is a more responsive strategy which involves adjusting the amount you buy or sell according to the risk of the asset. Put simply, the lower the risk, the more you buy, the higher the risk, the more you sell.

Tutorials
Solana/Alt coin Risk model
S&P500 Risk model

Benefits of Dynamic DCA

It optimizes your average purchase price, minimizing potential time spent in a loss.
You avoid buying into hype, and selling into fear.
You take profits, even if the asset never reaches a new all time high.
It is fully customizable to your personal risk tolerance.

Note! We do not retrofit any data. Risk levels calculated daily since 2021 remain unaltered historically.

Why use the model

With our risk model, you’re not predicting the future – you’re understanding the present.

The model condenses complex data into a single, actionable metric, helping you take the guesswork out of investing. This allows you to focus on and react to the present state of the market, rather than getting caught up in the noise of predictions and hype.

Trust the Data
AlphaSquared Investing Feature

Data-driven innovation:
Construction of the risk model

Our model takes a variety of factors as input and applies quantitative tools to calculate a risk level between 0-100. The underlying algorithm is self-learning and improves itself daily as new data becomes available. The algorithm is built using data-analysis, statistics, and automation.

The factors taken into consideration are handpicked and based upon a strong domain knowledge in finance and bitcoin expertise.

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Asset growth models for capturing asset-specific patterns

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Traditional technical analysis for price-based classification

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Regression for modeling time and seasonality

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Machine learning for dynamically determining variable weight

Proof of Profit (PoP)

Discover how our custom testing framework (PoP) goes beyond traditional methods, ensuring the reliability of the model.

01 Dataset & Optimization

The 1st step involves meticulous dataset sourcing and comparison. We understand the importance of utilizing reliable and diverse datasets, but also the challenges in avoiding biased data, mitigating the effects of multicollinearity, and addressing potential data gaps or inconsistencies.

02 Backtesting & Benchmarking

The backtesting process runs in parallel with finding the optimal dataset. This crucial step involves benchmarking our model against three widely recognized trading and investing strategies: HODL (Hold), DCA (Dollar-Cost Averaging), and a trend-following strategy. View the backtesting results in the Whitepaper.

03 Forward-and Stresstesting

The most crucial step involves subjecting our model to various simulated scenarios and stressful environments to evaluate its resilience. By simulating a wide variety of future price trajectories, we can assess how our model performs under adverse circumstances. View the simulation results in the Whitepaper.

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PR
Pobelmads Verify review

"The BTC Risk Metric alone has easily paid for the lifetime membership 100 times over."

C8

"Honestly $120 a year to have a stress-free, backtested, super simple strategy to maximize your crypto returns is a no brainer."

PM
PøbelMads Verify review

"I’m happy this is a selfcontained product without too many bells and whistles. I need a tool for me to be exposed to the market without having to think about it."

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Free trial includes

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Access to BTC, ETH, SOL and many more.

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Get notified of risk level changes

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Test with historic data

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Yearly plan

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Plan includes

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Access to BTC, ETH, SOL and many more.

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Get notified of risk level changes

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Test with historic data

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Access live risk levels

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Lifetime Plan

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Lifetime plan includes

Check icon Risk Models

Access to BTC, ETH, SOL and many more.

Check icon Risk Notifications

Get notified of risk level changes

Check icon Strategy Backtesting

Test with historic data

Check icon API Access

Access live risk levels

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Single payment, lifetime benefits.

Inner workings of the
bitcoin risk model

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The technical and fundamental underpinnings of the model

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Detailed backtesting results, benchmarked against other popular strategies

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In-depth process of constructing realistic price simulations

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Forward-testing and stress-testing results using simulations

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Our journey so far and our vision for the future

AlphaSquared Investing Feature