Bitcoin Risk Sizing with a 60/40 Lens: Clash of the Large‑Cap Basket and Trend‑Managed Sleeve
724FinanceBerk Arıcan
Key Highlights
Gregory Mall’ın yeni çalışması, Bitcoin’in **%60** uzun ve **%40** kısa pozisyonlarda farklı piyasa rejimlerinde nasıl performans gösterdiğini yeniden

Gregory Mall’s latest research redefines how Bitcoin performs under a 60% long / 40% short allocation across distinct market regimes.
A New Paradigm in Risk Sizing: The 60/40 Bitcoin Framework
Lionsoul Global adapts the classic 60/40 portfolio model to crypto, testing Bitcoin both in directed and undirected contexts.Regime Breakdown: Bull, Bear, and Sideways Markets
Mall identifies three regimes—bull, bear, and sideways—and benchmarks Bitcoin’s return profiles within each.Position Dynamics: Pure Bitcoin, Large‑Cap Basket, and Trend‑Managed Sleeve
The study juxtaposes three holdings (stand‑alone Bitcoin, a large‑cap crypto basket, and a trend‑managed sleeve) under the same 60/40 allocation.Berk Arıcan – Tokenomics and Altcoin Lead Researcher: Mall’s findings underscore that Bitcoin should be diversified not just by quantity but by position type. Trend‑managed sleeves provide downside protection in bear markets, while large‑cap baskets offer stability during sideways phases. Deploying multiple holdings within a 60/40 lens is a decisive step for investors aiming to fine‑tune risk exposure.
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