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Coming Soon Binance Portfolio Planned Risk
Portfolio Manager

Portfolio Manager

A planned portfolio management strategy that will manage existing Binance assets without purchasing new coins.

Automated trading does not guarantee profit. Strategy activation requires an eligible membership, a supported account connection and a minimum effective portfolio of 1,000 USDT.
Status Coming Soon
Supported market Binance Portfolio
Risk level Planned
Trade frequency Portfolio Driven
Operating flow

How it works

Planned to act only when the existing portfolio requires protection, rebalancing or an exit decision.

STEP 01

Reads existing assets

The planned strategy will evaluate assets already held in the connected Binance account.

STEP 02

Avoids new opportunities

It will not purchase unrelated new coins as part of its core operating mode.

STEP 03

Manages portfolio risk

Allocation, concentration and asset-level risk will guide management decisions.

STEP 04

Rebalances or exits

The strategy will support retention, reduction, rebalancing and exit actions.

Best suited for

Users who only want their current Binance portfolio monitored and managed.

Strategy suitability depends on the user’s risk tolerance, connected account, available portfolio and market conditions.

Market conditions

Existing portfolio risk and allocation management.

The strategy can remain inactive when its required market and execution conditions are not available.

Included capabilities

What the strategy provides

Product-level capabilities are shown without exposing internal formulas, scoring thresholds or private execution rules.

  • No new opportunity purchases
  • Existing asset analysis
  • Portfolio risk reduction
  • Asset retention and exit decisions
  • Portfolio rebalancing infrastructure
Automation scope

Automated actions

The exact action set is subject to strategy status, account eligibility, exchange permissions and risk controls.

01 Existing asset analysis

Planned capability for the development roadmap.

02 Concentration monitoring

Planned capability for the development roadmap.

03 Risk reduction decisions

Planned capability for the development roadmap.

04 Portfolio rebalancing

Planned capability for the development roadmap.

05 Asset exit management

Planned capability for the development roadmap.

Performance summary

Real results, not guaranteed projections.

Strategy reporting will be based on completed user trades, actual fills, commissions and realized results. Internal candidate data and hypothetical profit projections are not presented as user performance.

Transparent reporting standard

Performance can vary by entry price, execution quality, portfolio size, exchange conditions and the time a user activates the strategy.

Frequently asked questions

Before you activate

Is this strategy available now?

No. This strategy is currently listed on the development roadmap and cannot be activated yet.

Does the strategy guarantee profit?

No. Automated trading involves market, execution, liquidity and technology risk. Past or displayed performance does not guarantee future results.

Where are my funds held?

Supported strategies operate through the user’s connected account. Bitrady does not require the user to transfer the trading portfolio into a Bitrady custody account.

Can the system withdraw funds?

The intended Binance connection requires trading and reading permissions only. Withdrawal permission should remain disabled.

What happens below the minimum portfolio?

New positions are not opened below the required effective portfolio. Existing open positions can continue to be managed according to the safety rules.

Development roadmap

This strategy is not available yet.

You can review the strategy now. Activation will remain disabled until the strategy is released.

Coming Soon