How do I get global minima?
How do I effectively achieve the elusive goal of obtaining global minima in my financial models and cryptocurrency investments? Is there a proven strategy or set of practices that can help me navigate the complexities and uncertainties of the market to ensure that I'm making the most informed decisions possible? What tools or techniques should I be utilizing to identify and mitigate potential risks that could lead to suboptimal outcomes? I'm eager to learn more about how I can optimize my approach and consistently strive for the best possible results.