In anticipation of important macroeconomic events, I adjusted my portfolio:

- Increased the share of stablecoins to 30% for flexibility

- For $BTC, set a grid of orders with a step of 2% from the current price

- Closed part of the positions in altcoins with the least liquidity

It is especially important now to control risks - I recommend reviewing your stop-losses and not exceeding your usual level of margin trading. What strategies do you use in conditions of increased uncertainty?