**My Investment Portfolio (June 2025)**
My portfolio is strategically diversified across **stocks (60%), crypto (25%), and bonds (15%)** to balance growth and stability. In equities, I hold **tech giants (AAPL, NVDA) and dividend stocks (JNJ)** for steady returns. My **crypto allocation** includes **BTC and ETH**, capitalizing on the recent bullish momentum while managing volatility with **10% stablecoins**. Bonds provide downside protection amid market uncertainty. I rebalance quarterly, trimming winners and adding to undervalued assets. **YTD return: +18%**, outperforming the S&P 500. Risk management includes **stop-losses and hedging with gold ETFs**. Future focus: AI stocks and DeFi projects. Discipline and adaptability keep my portfolio resilient.
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