Try it → HeySorin.AI

Most people check their portfolio when it's up. Pros stress-test it when nothing's wrong.

Asked Sorin to run a 60/25/15 BTC-ETH-SOL book and tell me what breaks worst in the next 60 days, plus the single position change that cuts the most downside without killing upside.

Three failure modes came back:
– Funding unwind cascade
– Concentration risk on the ETH side
– SOL liquidity shock under stress

Then one trade to cut the tail without capping upside.

Stress-testing > performance-chasing. Every time.