These are my thoughts on my asset allocation strategy:

👉 BTC: I’m putting 62.75% of my portfolio here — it’s the backbone and the safest bet for long-term growth.

👉 SOLV: I’m allocating 19.66% — it has promising potential, and I want some exposure here.

👉 Others (like PEPE, RIF): The remaining 17.59% goes to these — they’re riskier, but they might give some big upside.

This balance reflects my belief in Bitcoin’s stability, while also giving me exposure to emerging opportunities. Let’s see how it plays out! 🚀