๐Ÿ“Š Case Comparison Summary

๐Ÿ’ก This page summarizes how the Grid Bot behaves under different starting balance conditions. Each case follows the same trading range and grid count, but the initial asset composition changes how the bot deploys orders.


โš™๏ธ Common Configuration

Parameter
Value

Market Price

2.5 USDT / XRP

Grid Range

2.0 โ€“ 3.0 USDT

Total Grids

8

Grid Spacing

0.125 USDT

Take-Profit per Grid

ยฑ 2 %

Safety Exit

Sell all if price < 2.0

Halt Conditions

Price < 2.0 or > 3.0


๐Ÿงฉ Case Overview Table

Feature

Case 1: USDT Only

Case 2: XRP Only

Case 3: USDT + XRP

Starting Assets

Quote currency only (USDT)

Base currency only (XRP)

Both USDT and XRP

Active Grid Side

Buy-side only (below market)

Sell-side only (above market)

Dual-side (buy + sell)

Initial Orders Placed

4 buy orders from 2.0โ€“2.5

4 sell orders from 2.5โ€“3.0

4 buy + 4 sell orders

First Trigger Direction

Price must drop to activate buys

Price must rise to activate sells

Either direction can trigger immediately

TP / Re-entry Logic

Each buy โ†’ TP sell (+2 %) โ†’ re-buy

Each sell โ†’ buy-back (โ€“2 %) โ†’ re-sell

Both sides active; each grid independent

Profit Source

From price rebounds after dips

From pullbacks after rallies

From all short-term oscillations

When Range Breaks Upward (> 3.0)

No buys โ†’ halt (no P/L) or TP profits if hit before break

All sells filled โ†’ profit + halt

All sells filled โ†’ profit + halt

When Range Breaks Downward (< 2.0)

All buys filled โ†’ safety sell โ†’ loss

All buy-backs filled โ†’ safety sell โ†’ loss

All lower buys filled โ†’ safety sell โ†’ loss

Risk Exposure

Long bias (XRP accumulation)

Short bias (XRP reduction)

Market-neutral (balanced)

Best Market Type

Down-and-up volatility (oscillating dips)

Up-and-down volatility (oscillating rallies)

Sideways range with regular fluctuations

Profit Realization Cycle

Buy โ†’ TP sell โ†’ re-buy

Sell โ†’ buy-back โ†’ re-sell

Both directions simultaneously

Safety Exit Behavior

Sell all XRP at market < 2.0 โ†’ halt

Sell all remaining XRP < 2.0 โ†’ halt

Sell all positions < 2.0 โ†’ halt

Capital Efficiency

Half the range active

Half the range active

Full range active (highest efficiency)

Resulting Strategy Type

Accumulation grid

Distribution grid

Balanced grid


๐Ÿ’ก Summary Insights

  • Case 1 (USDT-only): Focuses on buying low and selling on rebounds โ€” suitable for users who want to accumulate XRP.

  • Case 2 (XRP-only): Focuses on selling high and buying back on dips โ€” suitable for users who want to reduce XRP exposure or realize profits.

  • Case 3 (Both): Enables continuous, two-way trading โ€” ideal for range-bound markets and maximum capital utilization.


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