iguana-strategy
๐ฆ IGUANA v1.0.0 โ XYZ Macro Index Trend
Stock-market exposure on Hyperliquid without picking stocks. Iguana trend-follows xyz:SP500 + xyz:XYZ100. Two assets, one decision per tick. The closest thing to an index-fund equivalent, but 24/7.
Why this strategy exists
The fleet covers XYZ from several angles: Bobcat picks 12 big-tech stocks; Bald-Eagle / Kestrel do XYZ macro multi-asset contrarian fade; Dire specializes in a single commodity (BRENTOIL); Lemur / Falcon handle pre-IPO and conversion events. None of them deliver the simplest equity exposure โ "I just want the broad market." Iguana is that.
CRITICAL RULES
RULE 1: Indices only, no picks
Whitelist defaults to just two assets: xyz:SP500 and xyz:XYZ100. No individual stocks, no commodities, no pre-IPO names. Iguana is the index-fund equivalent.
RULE 2: 4-day trend strength gates entry
For each index the producer computes % change over the last 24 ร 4h bars (4 days). The strongest move past minTrendPct (default 1.5%) is the candidate. Both indices below threshold โ no signal.
RULE 3: Direction follows the trend
LONG if the 4d move is positive, SHORT if negative. Iguana is direction-agnostic on the way in โ it just trades whichever side the broad market is taking.