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define a `passive strat` standard, with a single configuration defined to allocate into when no other trades are present. It should also probably be weighted against trend, as it's gonna be filled with service trades. It could define percentages of say holding BTC/LTC, SOL/ETH, TWT/C98 etc + carry + other service trades. Real question is estimating the cost of allocating/deallocating into/from this, to properly balance free capital available for higher ev trades with its percentage stacked in those.
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