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POL (ex-MATIC) (POL) Analysis: SELL — 15,000 Deployment Plan

Deep Dive Analysis

POL (ex-MATIC) (POL)

2026-09-09 09:30 UTC · Tomas Novak · 15,000 Portfolio
PRICE
0.01
52W HIGH
0.34
DRAWDOWN
-97.1%
STAGE
Stage 4 (Downtrend)

🔴 AVOID — DO NOT DEPLOY
Trend-Following System · HIGH Conviction · 2 Bull / 7 Bear Factors

Bullish factors: strong bull trend (ADX 96.3), vol 12.43x on up day

Bearish factors: price < 50d, price < 200d, death cross, 50d falling, MACD-, far below high, distribution (OBV down, vol ratio 0.02)

POL Price — 1 Year

1Y Ago: 0.04
Low: 0.01
Now: 0.01

Technical Snapshot

RSI (14) 48.1 ADX (14) 96.3
50d MA 0.02 200d MA 0.04
Price vs 50d ▼ Below Price vs 200d ▼ Below
Support 0.01 Resistance 0.08
ATR Volatility 379.29%/day Trend SELL

Crypto Performance Comparison

POL-23.3%target-23.3%BTC+27.9%ETH+44.6%SOL+34.8%

Asset 1 Month 3 Months 6 Months 1 Year
POL +0.1% -23.3% -90.3% -75.7%
BTC +15.0% +27.9% +1.9% -10.3%
ETH +11.9% +44.6% +9.8% -16.0%
SOL +22.8% +34.8% +25.2% -17.3%

Trend-Following Backtest

2-year simulation of 15,000 using 50d/200d MA crossover + RSI filter. Buy when price > 50d MA (rising) + RSI 40-75. Sell on death cross or RSI > 82.

15,000 initial

FINAL VALUE
0
RETURN
-100.0%
MAX DRAWDOWN
-100.0%

Strategy vs Buy & Hold

Asset Strategy Buy & Hold Max DD Trades Win Rate
POL -100.0% -96.8% -100.0% 66 17%

DCA vs Lump Sum (POL)

If you had deployed 15,000 using different timing strategies over the past year.

Strategy Return Value Today
Lump Sum (1y ago) -75.7% 1,469
DCA — 4 buys -72.0% 4,198
DCA — 6 buys -72.0% 4,204
DCA — 12 buys -72.6% 4,104

POL Deployment Plan — 15,000 Portfolio

Analysis by Tomas Novak (Momentum / Swing Trader). If you’re managing a 15,000 crypto allocation, here’s the plan:

Position size 3,750 (25% of portfolio)
Stop loss -0.07 (-760.7%)
Target 1 0.00 (-100.0%)
Target 2 0.00 (-100.0%)
Entry quality Pullback
Max concurrent positions 4

Cash reserve: keep 25% buffer. Deploy in 2 tranches. Portfolio style: Momentum / Swing Trader.

Backtest Trade Log

Date Action Price P&L
2026-07-25 BUY 0.08
2026-07-26 SELL 0.01 -85.0%
2026-07-31 BUY 0.08
2026-08-01 SELL 0.01 -87.1%
2026-08-02 BUY 0.08
2026-08-03 SELL 0.01 -87.9%
2026-08-14 BUY 0.08
2026-08-15 SELL 0.08 +0.0%
2026-08-30 BUY 0.08
2026-08-31 SELL 0.01 -87.9%
2026-09-01 BUY 0.08
2026-09-02 SELL 0.01 -88.4%

Generated by BitcoinsNews.com Coin Analysis Engine · 2026-09-09 09:30 UTC
Trend-following methodology: 50d/200d MA crossover + RSI filter + ADX regime gate
Data via Yahoo Finance / CoinGecko · Not financial advice. For educational purposes only.

22 thoughts on “POL (ex-MATIC) (POL) Analysis: SELL — 15,000 Deployment Plan”

  1. from 0.34 to 0.01 and the system still found 66 ways to lose money on POL. 17% win rate is rough even for a stage 4 downtrend

    1. ADX at 96.3 with RSI sitting at 48 basically says it all. strong trend, straight down, and zero reversal signal. smart to stay out

    1. lol six trades in september alone. also the stop loss showing -760% is my favorite part, what is that even supposed to catch at 0.01

    2. the RSI 40-75 filter was supposed to prevent exactly this. ADX at 96 and it still bought 0.08 sixty-six times, the regime gate did nothing

  2. -100% on the backtest and 17% win rate across 66 trades, and people still wonder why the rating says AVOID. that stop loss of -760% is wild too

    1. The -760% stop loss number is clearly a math artifact from price being near 0.01, nobody sets a stop like that in real life. Article data is fine otherwise

      1. even as an artifact its informative. the math breaking at 0.01 tells you the position sizing column is decorative at this price level

  3. held matic since 2021, watched the pol migration torch my bag another -90% in six months. eth +44% over the same window while this bleeds out lol

    1. ^ the 6 month column is brutal, -90.3% vs eth +9.8%. at least DCA over 12 buys kept ~4.1k of the 15k. still a knife catch

  4. the 15k portfolio losing to plain eth by 34 points and they still printed a full deployment plan. respect the commitment to the format at least

  5. support 0.01, resistance 0.08, ATR 379% a day. the 3,750 position size suggestion next to an AVOID badge is my favorite contradiction of the week

    1. the ATR alone makes every number on the page useless. 379 percent daily swings means the stop gaps through you before the fill even lands

      1. ^ exactly. any stop on this thing is a suggestion. 379 percent daily ATR gaps through every level on the chart before the fill lands

    2. a position size suggestion and an AVOID badge sharing one page is peak quant theatre. at least the backtest is honest about what following the rules costs here

      1. honest backtest AND an avoid badge on the same page, thats more than most sell side gives you. the theatre at least admits the ending

  6. 0.34 to 0.01, ATR 379% a day, support at the rounding error. this stopped being an analysis and became a memorial around paragraph two

      1. same picture here except i held through the migration out of pure laziness. the laziness tax ran slightly cheaper than the loyalty one

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