This portfolio showcases strong performance with a 28.98% asset growth and a cumulative PNL of 26.34% as of May 10, 2025. The standout allocation is in PEPE, making up 50.80% of the portfolio—suggesting a high-risk, high-reward strategy. USDC provides stability at 14.34%, while DEXE holds 8.22%, supporting decentralized exposure. Smaller allocations to GRT (4.60%) and POND (4.39%) add diversity, with the remaining 17.65% spread across various other assets. The portfolio shows a notable jump in returns between May 4–10, reflecting successful trades or bullish market conditions. This blend of meme coins and stable assets balances risk and potential gains effectively.