Running 4 different strategies on MET: 1. One-sided (SOL): Bid ask to buy the dip. > Setting this up with Meteora. 2. Two-sided, Heart Attack: Auto rebalance and auto compound (Phase 2) to absorb fees, whether up or down. > Using @cleopetrafun to capture fees and trust them to expertly rebalance my positions. (Code: molu) 3. Two-sided, Spot, Wide Range: Designed to gain exposure to volatility. > Also setting this up with Meteora. 4. Buy and hold MET I'll keep the strategies open til December 10 and provide updates weekly. Ill put $1k in each strategy. Which strategy above do you think will be most profitable?
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