The reward to risk ratio is almost exact. Past 5 years and max have been profitable. Past few month have been non-profitable and filled with some more downward trends or negative correlations. Past year have been bad, and past day haven't been optimal as well as past week in terms of nice results. However, I am seeing a butterfly
effect with an around 3.77% yield and the potential of positive correlation for a short holding position the next few weeks, and even some swings the next few month.