I’m building my first public product after using the core idea privately for my own trading for several years.
It’s called MARFIN — a market regime & allocation framework.
The simple question behind it is:
How aggressive or defensive should capital be today?
I originally built it as a safety layer for my options workflow, especially around drawdowns and leveraged exposure.
Right now everything is free. I’m not trying to sell anything yet — I’m mainly trying to understand whether the idea is clear from the outside.
I’d really appreciate honest feedback:
– Is the positioning understandable?
– Does “market regime & allocation framework” make sense?
– Is the problem too niche, or clear enough for traders/investors?
Here’s the public page: https://marfin.me