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60%30%10%
LOW RISKyield

Portfolio Rebalancer

Maintain your target 60/40 or custom allocation automatically

Est. Monthly

$10–$80

Est. range

5–15% est. range

Win rate

Min Capital

$1,000

Illustrative catalog range — not a forecast. Run profitability validation in the wizard before live. How profitability works

Strategy Overview

Keeps your portfolio at a target allocation (e.g., 60% ETH, 30% BTC, 10% stablecoins). Rebalances when any asset drifts >5% from target.

Checks portfolio weights daily. If any asset drifts more than 5% from target allocation, sells the overweight asset and buys the underweight one back to target.

Community aggregate performance

Summaries from qualifying public agents only (not a guarantee or time series of your account).

Not enough live public data yet to show aggregate returns for this strategy.

Est. Monthly and Est. APY in the header are planning targets from configuration, not verified results.

Best For

Long-term portfolio managers who want systematic buy-low/sell-high without emotional decision-making.

Avoid If

You believe in concentrated bets on a single asset and want to ride the momentum without trimming.

Best Market Condition

All conditions — forces buy-low/sell-high systematically

Ready to deploy?

Set up your Portfolio Rebalancer agent in under 2 minutes. Start with the minimum $1,000.

Non-custodial · pause or stop anytime · no lock-in