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Fund Performance
NAV curve, risk metrics, and benchmark comparison
Net Asset Value
1M
3M
YTD
ALL
+20%
+10%
0%
-10%
Strategy NAV
BTC Benchmark
+18.6%
Total Return
2.34
Sharpe Ratio
-4.2%
Max Drawdown
75%
Win Rate
3.12
Profit Factor
4.2d
Avg Hold Time
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