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Post #428 88
πŸ“Š WHY OUR ROBOTS DON'T CORRELATE WITH EACH OTHER (AND WHY THAT'S GOOD)?

πŸ€” Many think: "If I have multiple bots, aren't they just duplicating each other?"
❌ No. Low correlation between strategies is what makes a portfolio resilient.

πŸ” What is correlation?
It's a measure of how synchronously the robots' returns move.
⚠️If correlation is high (close to 1) β€” when one suffers a drawdown, all others fall too.
βœ… If correlation is low (close to 0) β€” losses in one may be offset by gains in another.


πŸ€– How Bitronix bots work?
In our system, the average pairwise correlation between strategies is only about 1% πŸ“‰. This means they operate almost independently.
This is achieved through algorithm diversification: different time horizons, different entry/exit patterns, different instruments (but within BTC/ETH).

πŸš€ Why is this cool?
Imagine having 1000 weak but uncorrelated strategies. According to a formula from our technical documentation, the overall Sharpe ratio of the portfolio can increase by 10 times πŸš€ compared to the average strategy. That's the ensemble effect: weak models combined deliver powerful results.

πŸ“Œ Bottom line: your money isn't tied to one boat. Even if one strategy temporarily dips, others keep working. That's true diversification.

πŸ‘‰ Run multiple bots and sleep well. @BitronixAppBot

⭐️ Bitronix β€” math that works as a team.
Bitronix App Bot | Bitronix App Web | Twitter | Web | Gitbook | Channel | Community | Support
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