Daily Signals & Positioning Report

A simple framework for better decisions

This month of July, 100% of proceeds from all Daily Report subscriptions will be donated to support victims of the June 24 earthquake in Venezuela 🇻🇪.

Institutional-grade investing signals, delivered daily


BTC · ETH · SOL


Built for investors
+ active traders


Macro framework
used by institutions

What this report helps you do

  • Invest with a clear process: Start each day with a structured read on macro and market conditions, not headlines.

  • Know when to lean in or stay defensive: Use simple positioning guidance (0% / 50% / 100% of your max allocation) to scale risk up or down over time.

  • Make smarter moves during volatility: Trend signals and trading ranges help you improve entries, exits, and risk management.

  • Stay consistent across the year: Most days require no action. You follow the model when conditions change.

  • Reduce stress and second-guessing: A repeatable framework helps you avoid panic selling, FOMO buying, and overtrading.

  • Learn as you go: Members get step-by-step guides and implementation notes (English and Spanish) so the report becomes easier to use with time.

Choose your plan

Launch pricing & perks (Founding Members): locked in for life while your subscription stays active.

This month of July, 100% of proceeds from all Daily Report subscriptions will be donated to support victims of the June 24 earthquake in Venezuela.

Monthly

✓ Daily Report
Quarterly

✓ Daily Report
✓ 1 Free group class (a year)
Yearly

✓ Daily Report
✓ 1 Free group class (a year)
✓ 1-1 Consulting session

What’s included

  • Daily summary and commentary (Mon - Fri, excluding U.S. holidays)

  • Current and forward-looking macro regime (Quarterly + Monthly)

  • Trend signal for BTC, ETH, and SOL (Bullish / Bearish / Neutral)

  • Short-term trading ranges (buy and sell levels for active traders)

  • Strategic position sizing guidance (0% / 50% / 100% of your max allocation)

  • Back-tested performance vs buy-and-hold for context and discipline

  • Member-only onboarding resources: step-by-step guides and videos in English + Spanish to help you read the report with confidence

Report At A Glance

1. Macro Framework

Our foundation is a macroeconomic forecasting model that allows us to anticipate asset class moves and central bank policy.

2. Quantitative Trend Signals & Trading levels

We overlay macro with intermediate-term and short-term quantitative signals.

3. Positioning Guidance

Our multi-factor model combines macro and quantitative signals to suggest optimal positioning (risk-on, partial, or risk-off), which can be scaled to your own portfolio size and preferences.

4. Risk Management Focus

The goal is not to call tops or bottoms, but to avoid major drawdowns and participate in large market moves with greater consistency and peace of mind.

Frequently Asked Questions

Want personalized consultation?
CW3 also offers 1-on-1 consulting for individuals and institutions looking for deeper portfolio and strategy support.