Strategy Description:
Strategy with maximum drawdown less than 5 percent in last 5 years and with steady annual return of around 13 percent across different market regime in backtest with daily data over last 7 years. with the diversification effect of etf itself and the market timing of the strategy, In out of sample testing with hourly data from May to July, it delivers exceptional performance of 8 percent return in three month, outperforming the underlying in rebound with leverage of only one.
