VADIEβ„’ Research Archive

Historical Decision Report

Official autonomous portfolio evidence retained from the VisionX AI competition record.
Portfolio #118 Competition C94 Portfolio Engine v4.7 SETTLED
Research Identity

VDX Daily Top Picks #20260704

Strategy: cmc_v4_daily_long_short
Submitted: 2026-07-02 00:05:02
Scored: 2026-07-27 13:55:01
Final Rank
#1
Rank reflects relative competition performance.
Final Score
-1.7619%
Engine Status
LIVE
Payout
No payout recorded
Portfolio Environment

Decision Context

Market Regime
Neutral
Macro Regime
Neutral
Breadth
Weak
Confidence
Very High
Expected Alpha
0.834
Optimizer
0.834
Portfolio Quality
0.946
Portfolio Risk
0.820
Balance
1.000
Diversification
1.000
Engine Provenance

Generation Record

Engine Family
Hedge Fund Engine
Engine Version
v4.7
Engine Build
2026.06.16
Engine Mode
Long/Short Expected Alpha
Generated
2026-07-02 00:05:02
Historical Portfolio

Autonomous Decisions

Decision evidence exactly as retained when this portfolio was generated.
3 picks
LONG DEXE Decision #1
Sector: Defi Β· Pump risk: Low Β· Crash risk: Not recorded
Decision Score
0.630
Positive Evidence
βœ“ Strong momentum
βœ“ Strong trend
βœ“ Controlled risk
βœ“ Positive sector tags
Negative Evidence
! Low liquidity
Momentum 79%
Trend 74%
Liquidity 9%
Market Quality 49%
Risk Control 81%
Relative Strength 60%
Trend Acceleration 73%
Sector Rotation 60%
Sector Strength 49%
Supply Quality 87%
Mean Reversion Risk β€”
Momentum Exhaustion β€”
LONG SOL Decision #2
Sector: Layer1 Β· Pump risk: Low Β· Crash risk: Not recorded
Decision Score
0.623
Positive Evidence
βœ“ High liquidity
βœ“ High market quality
βœ“ Controlled risk
βœ“ Positive sector tags
Negative Evidence
No negative factors recorded.
Momentum 56%
Trend 56%
Liquidity 85%
Market Quality 89%
Risk Control 86%
Relative Strength 59%
Trend Acceleration 0%
Sector Rotation 31%
Sector Strength 32%
Supply Quality 92%
Mean Reversion Risk β€”
Momentum Exhaustion β€”
SHORT ADA Decision #3
Sector: Layer1 Β· Pump risk: Low Β· Crash risk: Not recorded
Decision Score
0.731
Positive Evidence
βœ“ High liquidity
βœ“ High market quality
βœ“ Controlled risk
βœ“ Positive sector tags
Negative Evidence
No negative factors recorded.
Momentum 43%
Trend 42%
Liquidity 100%
Market Quality 94%
Risk Control 79%
Relative Strength 48%
Trend Acceleration 0%
Sector Rotation 31%
Sector Strength 32%
Supply Quality 81%
Mean Reversion Risk β€”
Momentum Exhaustion β€”
Learning Audit

Factor Intelligence

Portfolio-level audit summary. Each observation represents one stored pick-factor result.
Factor Average Range Weight Records
Breadth 0.000 0.000 – 0.000 1.0000 3
Btc Relative Strength 0.610 0.563 – 0.693 1.0000 3
Depth 0.625 0.114 – 1.000 1.0000 3
Eth Relative Strength 0.598 0.551 – 0.682 1.0000 3
Liquidity 0.648 0.089 – 1.000 1.0000 3
Macro Btc Dominance 0.663 0.663 – 0.663 1.0000 3
Macro Eth Dominance 0.133 0.133 – 0.133 1.0000 3
Macro Fear Greed 0.000 0.000 – 0.000 1.0000 3
Market Quality 0.772 0.492 – 0.936 1.0000 3
Momentum 0.592 0.426 – 0.790 1.0000 3
Rank 0.852 0.723 – 0.950 1.0000 3
Relative Strength 0.557 0.475 – 0.602 1.0000 3
Risk Control 0.820 0.793 – 0.860 1.0000 3
Sector Rotation 0.402 0.306 – 0.595 1.0000 3
Supply Quality 0.866 0.809 – 0.923 1.0000 3
Trend 0.573 0.420 – 0.739 1.0000 3
Trend Acceleration 0.245 0.000 – 0.735 1.0000 3
Outcome Intelligence

Failure Attribution

Post-competition attribution retained by the learning engine.
DEXE Β· LONG WIN
Primary Cause: Winning Setup
Secondary Cause: No secondary cause identified
Position Return: +2.0884%
Attribution Confidence: 35%
SOL Β· LONG LOSS
Primary Cause: Sector Strength
Secondary Cause: No secondary cause identified
Position Return: -1.3978%
Attribution Confidence: 62%
ADA Β· SHORT LOSS
Primary Cause: Sector Strength
Secondary Cause: No secondary cause identified
Position Return: -5.9762%
Attribution Confidence: 62%
Research output only. This report displays historical metadata retained at portfolio generation and official competition outcome data. Missing information is not reconstructed retroactively.