Futures
Access hundreds of perpetual contracts
TradFi
Gold
One platform for global traditional assets
Options
Hot
Trade European-style vanilla options
Unified Account
Maximize your capital efficiency
Demo Trading
Introduction to Futures Trading
Learn the basics of futures trading
Futures Events
Join events to earn rewards
Demo Trading
Use virtual funds to practice risk-free trading
Launch
CandyDrop
Collect candies to earn airdrops
Launchpool
Quick staking, earn potential new tokens
HODLer Airdrop
Hold GT and get massive airdrops for free
Launchpad
Be early to the next big token project
Alpha Points
Trade on-chain assets and earn airdrops
Futures Points
Earn futures points and claim airdrop rewards
Here is exactly what returns to expect from this strategy I do.
Most people set expectations too high or too low. Here is the honest math.
Base portfolio target: ~10% per year.
Historical S&P 500 average. Some years 50%. Some years -50%. Zoom out.
Options layer target: ~15% per year on top.
Only when undervalued. Quality companies. Long duration. Ratios in check.
Combined total target: ~25% per year.
My actual 10 year CAGR: 25.89%. Beat S&P (15%) and Nasdaq (18%).
The critical warning.
If you go from $100 to $50 that is a 50% drop.
To get back to $100 from $50 you need a 100% gain.
Never get wiped out. Rule #1 always.
The math only works if you never have to start over.
Stay in the game.