$BTC Evasive and perplexing, if investors manage their positions well and only trade in large market cap varieties, it should be much easier to operate, at least without the risk of delisting.
The current market is indeed thrilling, with frequent large rises and falls, drawing back and forth; investors should reasonably control their positions, selling high and buying low. This way, they can adapt to changes without changing their strategy. Having too large a position can easily lead to substantial losses. For quality varieties, building positions in batches and buying more as prices drop, while selling at highs, is the correct approach.
Recently, big news has been frequent, and the possibility of the market oscillating and hitting the bottom is increasing. If positions are managed well, and costs are reduced by continuously selling high and buying low, one's risk will continuously decrease.