Explore my portfolio mix. Follow to see how I invest!
As of June 9, 2025, my crypto portfolio reflects a strong leaning toward BNB, which dominates at 52.02% of the total allocation. This shows high conviction in Binance’s native token, likely for its utility or long-term growth potential.
The second-largest holding in my portfolio is SOLV (13.27%), followed by BMT (9.05%), RIF (9.00%), and BANANAS31 (8.49%). These mid-sized altcoin positions indicate a diversification strategy into emerging or experimental assets, possibly targeting high upside potential. The remaining 8.17% is spread across “Others,” representing smaller, exploratory positions.
In terms of performance, BMT had the highest 24-hour gain at 6.28%, followed by SOLV at 1.33%, showing promising short-term momentum. BNB, the core of my portfolio, gained 0.57%, offering moderate daily stability. Overall, my portfolio reflects a moderately aggressive strategy—anchored by a blue-chip token and complemented with riskier, high-growth altcoins.