Long HYPE & BTC | Short Garbage

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Hyperliquid Trading Vault · 367 days old · 100 followers

Risk Score

53/100

Strategy

Multi

APR

79.8%

TVL

$2M

Leader Equity

33.5%

Return

+69.0%

Max Drawdown

-49.6%

Sharpe Ratio

2.53

30d vol: 246.3%

Account Exposure

1.0x

notional / equity

Max Position Leverage

40x

Why This Grade?

A single position uses 40x leverage, which could cascade into a liquidation. 67% of exposure is concentrated in HYPE.

Position Risk(avg across 29 tokens)43 pts
Max Position Leverage(40x)+10 pts
Total Score53/100 C-
How we score vaults →

Performance (TWR)

+69.0%

Strategy

70% HYPE 30% BTC long Short portfolio may change but will always include a basket of at least 10+ high FDV high emission coins. Short side will be about 60% of notional

Correlated Vaults

Most Correlated

Least Correlated

Low/negative correlation = good for diversification

Position Breakdown

A gradeB gradeC gradeD gradeF gradeUnratedSolid border = LongDashed border = Short
SideTokenWeightGrade
LONGHYPE64.8%C-
LONGBTC11.9%B
SHORTETH9.3%A-
SHORTXRP6.4%B-
SHORTWLFI2.6%
+ 33 more positions
SHORTLINK1.2%B-
SHORTSUI0.9%C+
SHORTTRUMP0.6%
SHORTIP0.4%C+
SHORTTON0.3%C+
SHORTMELANIA0.2%
SHORTZORA0.2%C+
SHORTADA0.2%B-
SHORTMEGA0.2%
SHORTATOM0.1%B
SHORTBCH0.1%B
SHORTXLM0.1%B+
SHORTSEI0.1%C+
SHORTHBAR0.1%C+
SHORTSPX0.1%
SHORTMNT0.1%C+
SHORTDOGE0.0%B
SHORTTIA0.0%B-
SHORTkSHIB0.0%
SHORTINJ0.0%B-
SHORTLTC0.0%B+
SHORTKAITO0.0%B-
SHORTALT0.0%B
SHORTkPEPE0.0%
SHORTTAO0.0%C-
SHORTWLD0.0%C+
SHORTWIF0.0%
SHORTZK0.0%C
SHORTW0.0%C
SHORTPOPCAT0.0%
SHORTSTRK0.0%C+
SHORTAPT0.0%B
SHORTDYM0.0%B-

Unrated tokens: kPEPE, kSHIB, WIF, POPCAT, SPX, TRUMP, MELANIA, WLFI, MEGA. These positions don't contribute to the risk score.

Vault risk = position-weighted average of token risk scores. Short positions use inverted scores (shorting risky tokens reduces risk).

Platform Risk: Hyperliquid

All vaults on Hyperliquid share the platform's counterparty, bridge, and L1 risk.

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