Euclidian Investments
Overview
The Euclidian Vault is a next-generation trading product that allows users to deposit funds and participate in the profits generated by our proprietary machine learning (ML) system.
For the past 11 months, our research team has trained and refined a sophisticated algorithm — internally known as the V2 Pipeline — that transforms raw crypto market data into deployable, risk-managed trading strategies. The vault is designed to harness this framework in a transparent, disciplined, and scalable way.
Euclidian is built on two core principles:
Profit-driven execution – every stage of the pipeline is optimized for statistical edge and realistic trading performance.
Capital protection – risk management and live guardrails are embedded at every step to preserve user funds.
Why Euclidian?
Traditional strategies often rely on surface-level signals or overfitted backtests. Euclidian takes a deeper approach by:
Extracting hidden edges – using advanced feature engineering and clustering to detect non-obvious patterns in price, volume, and volatility.
Ensuring robustness – validating results through walk-forward splits, bootstrap trials, and strict out-of-sample testing.
Optimizing execution – adapting entries and exits to reflect actual market frictions like slippage, costs, and liquidity.
Balancing portfolios – assembling diverse strategies across directions, horizons, and market conditions.
Safeguarding capital – applying real-time risk controls to monitor trades, enforce guardrails, and pause degraded strategies.
How It Works (High-Level)
The V2 Pipeline runs through a structured series of stages:
Dataset Enhancement – raw market data is enriched with engineered features such as candle geometry, macro signals, volatility regimes, and higher-timeframe context.
Pattern Discovery – millions of sequences are compressed, clustered, and distilled into statistically valid trade setups.
Exit Definition – setups are stress-tested with historical price paths to define realistic stop and take-profit levels.
Entry Optimization – entries are calibrated for real-world execution quality and probability of fills.
Portfolio Construction – only the strongest, most diverse setups are assembled into a coherent portfolio.
Deployment Bundling – models, rules, and allocations are packaged into deployable strategy artifacts.
Live Risk Management – ongoing monitoring enforces exposure caps, drawdown stops, and automatic drift detection.

What Users Get
By depositing into the Euclidian Vault, users gain:
Exposure to institutional-grade research without needing to build their own systems.
Diversified strategies across multiple time horizons and trade types.
Transparency & accountability through systematic risk management and audit trails.
Profit-sharing alignment – the vault’s incentives are directly tied to generating sustainable returns.
Our Edge
Unlike surface-level bots or retail trading scripts, Euclidian is a full research-to-execution ecosystem:
Hundreds of engineered features per bar
Millions of candidate sequences clustered
Thousands of bootstrap trials per setup
Dozens of validated strategies deployed in parallel
This level of scale and rigor positions Euclidian as a true edge factory, capable of continuously discovering, validating, and deploying profitable strategies in live markets.
Executive Summary
The Euclidian Vault represents the culmination of nearly a year of research and engineering. It is not just another trading product — it is a disciplined, ML-driven framework that blends statistical rigor with operational excellence.
Our mission is simple:
Deliver consistent profitability through robust, adaptive strategies.
Protect user capital with strict, real-time guardrails.
Build long-term trust by aligning the vault’s success with its participants.
Euclidian is where advanced machine learning meets practical, profit-driven execution — built to thrive across market regimes.
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