Trading signals
Trading signals Yield Hunters makes an asset allocation change on the DEGEN FARMER model portfolio:AEVO/OPTIMISM:– Closed short SOL position in Aevo (was delta neutral). – Withdrew funds on Base and deposited in the Curve Savings crvUSD/USDC pool.– Claimed CRV rewards and swapped for cbBTC.ARBITRUM-Withdrew liquidity from Uniswap V3 pool (all in USDC), bridged […]
Trading signals
Trading signals Yield Hunters makes an asset allocation change on the HONEST FARMER model portfolio: ArbitrumBorrowed more Usdt on Compound at max 50%swapped Usdt for Usdc and bridged to BaseBaseDeposited and staked bridged Usdc in Usdc/savingscrvusd poolOptimismWithdrawn liquidity from both Uni V3 Wbtc Usdc pools andmade a new one V3 0.3 fee […]
Trading signals
Trading signals Yield Hunters makes an asset allocation change on the HONEST FARMER model portfolio: Optimism -withdrawn from Uni V3 Wbtc Usdc pool 92300/111170 and created a new range 99790/120188 uni V3 0.3 fee — DISCLAIMERI contenuti del seguente sito hanno esclusivamente scopo informativo e non costituiscono un’offerta di vendita, una richiesta […]
Trading signals
Trading signals Yield Hunters makes an asset allocation change on the HONEST FARMER model portfolio: Sonic:Withdrawn from all Usdc from Silo Anon market and deposited in Silo Apostro Usdc managed vaulthttps://app.silo.finance/vaults/sonic/0xcca902f2d3d265151f123d8ce8FdAc38ba9745ed?action=depositUnichain/ OptimismWithdrawn all liquidity from WbtcUsdc pool, bridged to Optimism and opened the same range Uni V3 0.3 fee tier.Used Velodrome for Wbtc […]
Trading signals
Trading signals BigFi apporta una modifica all’asset allocation del portafoglio modello Global Titans: – Incrementando del 100% le quote di Alibaba Group Holding (ISIN: US01609W1027). Sul NYSE, al prezzo di mercato. — BigFi makes a change to the asset allocation of the Global Titans model portfolio: – Increased shares of Alibaba Group Holding by 100% (ISIN: US01609W1027). […]
Trading signals
Trading signals BigFi apporta una modifica all’asset allocation del portafoglio modello EverGreen: – Vendendo il 100% delle quote di iShares MSCI EM UCITS ETF (ISIN: IE00B0M63177). Al prezzo di mercato. — BigFi makes a change to the asset allocation of the EverGreen model portfolio: – Selling 100% of the shares of iShares MSCI EM UCITS […]
Trading signals
Trading signals BigFi apporta una modifica all’asset allocation del portafoglio modello Global Titans: – Acquistando con il 2% del totale di portafoglio, McDonald’s (ISIN: US5801351017). Sul NYSE, al prezzo di mercato. — BigFi makes a change to the asset allocation of the Global Titans model portfolio: – Buying with 2% of the total portfolio, McDonald’s […]
Trading signals
Trading signals BigFi apporta una modifica all’asset allocation del portafoglio modello Global Titans: – Acquistando con il 1,25% del totale di portafoglio, Alibaba Group Holding (ISIN: US01609W1027). Sul NYSE, al prezzo di mercato. — BigFi makes a change to the asset allocation of the Global Titans model portfolio: – Buying with 1.25% of the total […]
Trading signals
Trading signals BigFi apporta una modifica all’asset allocation del portafoglio modello EverGreen: – Acquistando con l’1% del totale di portafoglio, The Coca-Cola Company (ISIN: US1912161007). Sul NYSE, al prezzo di mercato. — BigFi makes a change to the asset allocation of the EverGreen model portfolio: – Buying with 1% of the total portfolio, The Coca-Cola […]
Trading signals
Trading signals BigFi apporta una modifica all’asset allocation del portafoglio modello Pure Alpha, vendendo il 100% delle quote delle seguenti posizioni: – Booking Holdings (ISIN: US09857L1089) – Broadcom Ltd (ISIN: US11135F1012) Al prezzo di mercato. — BigFi makes a change to the asset allocation of the Pure Alpha model portfolio, selling 100% of the shares […]