Small-Collateral High-Torque Breakouts
π― Objectiveβ
Use small, isolated collateral (e.g., $1β4k) with high leverage to capture short, explosive legs. Treat the wallet as disposable tactical capital; never co-mingle with core holdings.
π§± Capital Disciplineβ
- Wallet Size: $1kβ$4k (fixed per attempt).
- Monthly attempt cap: e.g., 3β5 attempts; stop if down 2 consecutive wallets.
- Profit Skim: Auto-withdraw any balance > 3Γ base back to core holdings.
π§© Setup (Same Compression Logic, Stricter Filters)β
- Compression confirmed (low bandwidth percentile).
- Fresh volume surge (> 2Γ baseline) on trigger.
- Directional filter optional: require VWAP slope alignment to cut false breaks.
- Avoid choppy macro windows (BTC whipsaw) unless spreads are tight.
π§ Orders (Platform-Agnostic)β
- Single-side acceleration or straddle (pick one per playbook instance).
- Leverage: only what keeps liquidation distance comfortable vs. stop width.
- Must-haves: pre-attached stop and at least one TP (ladder is better).
- If no native OCO: manual cancel rule on opposite order upon first fill.
π Parametersβ
| Param | Default | Notes |
|---|---|---|
| Leverage | 50Γβ100Γ | Only if stop width supports it without micro-liq |
| Stop width | 0.4β0.8% (or ATR-based) | Hard stop; no widen-on-pain |
| TP plan | TP1 +30β40% ROI, TP2 +150β300% ROI, runner trail | Map ROI β % move Γ leverage |
| Max exposure time | β€ 4h | Itβs a burst play, not a swing |
| Fail-safe | If back inside range β exit | Protect capital for next attempt |
Quick mapping: ROI β (Underlying % move Γ leverage).
E.g., +0.8% move at 75Γ β +60% ROI before fees/funding.
π Checklist Before Armingβ
- β Orders staged (entries, stop, TPs)
- β Opposite side cancel plan (or native OCO)
- β Liquidity depth checked (avoid instant slip to liq)
- β Funding not punitive for intended hold window
- β Correlation sanity with BTC on 1β5m
π Post-Trade Journalβ
- Wallet ID & attempt #
- Trigger type (pure straddle vs. biased)
- Fill quality (slippage, partials)
- ROI by take-profit level(s)
- Time-in-trade vs. expected burst window
- Lessons / rule tweaks
π Evolution Rulesβ
- If repeated micro-liqs: widen stop or cut leverage tier.
- If frequent fakeouts: increase entry buffer or require a close beyond level, not just a wick.
- Quarterly: recompute historical post-break leg distribution to recalibrate TP ladder.