$BNB $SOL
Hello everyone! I want to share a glimpse of the current distribution of my cryptocurrency portfolio, seeking opinions and advice. As you can see, it is quite concentrated in two main assets: BMT and ACE.
Currently, BMT represents 51.92% of my assets, reflecting my confidence in its long-term potential. ACE follows closely with 37.26%, consolidating itself as a significant part of my strategy. The remaining 10.82% is made up of "Others", which are small positions in different cryptocurrencies.
I am looking to diversify a bit more, but at the same time, I want to optimize my returns. What do you think of this distribution? Do you believe that the concentration in BMT and ACE is appropriate, or should I consider adjusting the proportions? Any suggestions on how to improve it are welcome!