strategy=Variance Risk Premium (SPY / QQQ) methodology_version=v1.0 instruments=SPY + QQQ (weekly options / variance) timeframe=Weekly validated_window=2015–2026 (11.5y, 599 weeks) risk_per_trade_pct=1 profit_factor=1.74 sharpe=0.86 max_drawdown_pct=-12.1 gates_passed=9 gates_total=11 placebo=PASS note=Validated verdict applies to THIS config only. Changing any value voids the verdict.