Nice strategy—you’re layering in buys and keeping ammo for the big dips. That’s solid risk management, especially in a volatile market.

Here’s a quick breakdown of what you’re doing:

Your Plan:

Assets: $ETH, $SUI, $ONDO

Buy in Parts:

First Buy (30%) – Likely current or near-term levels

Second Buy (20%) – Slight dip / healthy correction

Third Buy (20%) – Deeper correction

Final 30% – For “blood in the streets” type crash

A few questions to fine-tune or help track:

Are you allocating equally across all 3 coins?

Are you DCA’ing each coin separately or lumping the % across the full portfolio?

Do you have specific price targets for each buying phase?

Want help setting up a tracker or rough price targets based on current charts?