Strategy rankings
Approved strategies ranked by track record. Pick one to launch a pool — an operator runs it for you.
make markets on a YES token: inventory skew around the rolling mid, skip when the spread is too tight
rank a universe by lookback return, long the strongest top-N (equal weight), rebalance
near resolution, hold the clearly-leading side to settlement payout
screen the lowest-realized-vol names, then trend-follow each (pre-filter)
long spot / short perp when the basis is rich, unwind on convergence
long the most-negative-funding perps to collect funding (pre-filter)
ride established trends with breakout entries and trailing exits
capture perp funding while hedged spot/perp — market-neutral carry
mean-revert a cointegrated pair on z-score dislocation
inventory skew around mid: hold more when cheaper
fade over-reactions in logit space (buy NO when over-priced, YES when under), flat near resolution
z-score buys dips below mean, exits on reversion
EMA fast/slow crossover: long in an uptrend, else flat
even grid in a range: add a step on each drop, trim on each rise
quote both sides around mid, hedge inventory to stay delta-flat
buy both legs when YES + NO costs under 1 — a pair settles to 1, locking the risk-free edge