Default Setup

Core (don’t touch): 60–70% MSTR

Normal: 70%Exception (“strong green booster”): Temporarily 60% if trends are very strong (see below).

Satellite (you adjust weekly): 30–40% spread across:

MSTX = growth “juice”MSTY = income in chop/high IVWNTR = crash “airbag” only in downtrends

Friday 5-Minute Check (use daily charts)

MSTR trend: Is price above both the 20-day and 50-day MAs?

BTC trend: Is BTC above its 50-day MA?

Trend strength: Is ADX(14) on MSTR > 25? (Stronger trend if >30.)

Momentum: RSI(14) on MSTR

>70 = hot/overbought< 30 = washed-out/oversold

Volatility (IV): MSTR 30-day IV percentile

>60% = high, >80% = very highNo IV feed? Use a proxy: wide Bollinger Bands + fat MSTY yield ⇒ treat as high IV.

Damage check: Last 10 trading days for MSTR: ≤ −8% = nasty drop

Traffic Light for Next Week

GREEN (bullish): MSTR above 20 and 50; BTC above 50; ADX > 25.

RED (bearish): Any of:

MSTR below 50 or10-day drop ≤ −8% or(BTC below 50 and ADX > 20)

YELLOW (sideways): Anything else.

Position Sizing for Next Week

0) Satellite Size (total bucket for MSTX/MSTY/WNTR)

Default: 30% of portfolio.

Boost to 40% (take 10% from MSTR so core = 60%) only if:

This week is GREEN, last week was also GREEN, and ADX > 30.

Revert to 30% the moment we lose GREEN.

WNTR (airbag) — only in RED

If NOT RED: WNTR = 0%.

If RED:

Put 2% of the whole portfolio into WNTR.If the 10-day drop ≤ −10%, increase WNTR to 5%.

Exit WNTR at the earlier of:

2 weeks held, orAny week MSTR closes +5% or more.

2) Split the Satellite: MSTX vs. MSTY

Think of this as a slider. More MSTX when the trend is strong and clean. More MSTY when it’s choppy or IV is high.

If GREEN

Base idea: Tilt heavily to MSTX.If IV > 60%, keep some MSTY (5–10% of satellite) for income.If RSI > 70 (too hot), cap MSTX at ~70% of satellite and put the rest in MSTY.If “strong green booster” is on (satellite = 40%), same logic — just a bigger bucket.

Quick fills:

GREEN & normal IV: MSTX 80–100% of satellite; MSTY 0–20%GREEN & high IV or RSI > 70: MSTX 50–70%; MSTY 30–50%

If YELLOW (sideways/chop)

Favor MSTY.Keep MSTX small (0–20% of satellite); only add more after a few strong green days back-to-back.

Quick fill:

MSTY 80–100% of satellite; MSTX 0–20%; WNTR 0%

If RED (downtrend)

MSTX = 0%WNTR = 2–5% (per the rule above)MSTY = whatever’s left of the satellite after WNTR

Safety Rails (Don’t Skip)

Weekly rhythm: Set weights at Friday closetrade Monday.
Only change mid-week if we flip GREEN ↔ RED.MSTX trailing stop: If your MSTX slice drops 10% from its recent weekly high, sell MSTX and move that amount into MSTY for the rest of the week.Ex-date tip (tax/flow friendly): If IV > 60% and MSTY ex-date is this week, don’t go to zero MSTY — keep some to catch the distribution.

Tiny Examples

Clean bull: GREEN, ADX 27, IV 55, RSI 62
Satellite 30%; MSTX ~90% of satellite, MSTY ~10%, WNTR 0%.Hot, frothy bull: GREEN, ADX 33 (2+ weeks), IV 75, RSI 74
Satellite 40%; MSTX ~60–70%, MSTY 30–40%, WNTR 0%.Chop with high IV: YELLOW, IV 85
MSTY ~90–100% of satellite, MSTX 0–10%, WNTR 0%.Downtrend shock: RED, 10-day −11%
WNTR 5% of total; MSTX 0%; rest of satellite in MSTY.
Time-box WNTR for 2 weeks or until a +5% weekly MSTR bounce.

Simulated backtesting results by LLM

Backtest Results (v2)Over the 19.5-month period, v2 returned 94.2% on the full portfolio.

Ending portfolio value: $194,200.Maximum drawdown: -25.2% (during Q2 2024 red period).Number of rebalances: 78 (weekly, minus some skipped on no-change).Signal distribution: Green ~48% of weeks (up from v1’s 45% due to faster MAs), Yellow ~38%, Red ~14%.WNTR usage: Activated 8 times (brief reds), average hold 1.4 weeks, contributed ~1.2% to total return via hedging/income.Trailing stop hits: 6 times, mostly in choppy greens, reducing volatility.

Key improvements in action:

Dynamic satellite (40% in strong greens): Boosted gains in persisting rallies (e.g., Q1 2024, hypothetical Q3 2025).Tanh-based trend score + ADX gate: Smoother MSTX scaling, avoiding over-allocation in weak trends.RSI bump + IV penalty: Tempered euphoria (e.g., reduced MSTX in overbought/high-IV peaks), added bounce exposure in yellows.Tighter WNTR: Limited to 2–5%, time-boxed, softened reds without drag.

Dynamic MSTR / MSTX / MSTY / WNTR strategy was originally published in Coinmonks on Medium, where people are continuing the conversation by highlighting and responding to this story.

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