As I had written in my last report I did not really believe the 400% short. It just seemed to be far too risky.
Since then I have rechecked all my analysis for bugs and did not find any. However, I realised that I made an implicit assumption in my method that turned out to underestimate risk. I know how to fix the problem, but it makes the method much more complicated. I will post the next report when I am done with that.
In the meanwhile I liquidate all my positions at
BTC = 8356.27
ETH= 182.53
the actual numbers will follow in my next report with the updated method