After taking profit from the recent BNB trading round, I have upgraded my investment portfolio to optimize profits and reduce risks. Currently, I divide my portfolio as follows: 40% USDT to wait for DCA opportunities in BNB/ETH, 30% into layer 1 coins like BNB and AVAX, 20% for altcoins with potential airdrop factors like ARB or ZK. The remaining 10% I set aside to experiment with newly launched tokens like $XNY. This plan helps me avoid too much FOMO, while also allowing for flexible proportions for each objective: short-term – medium-term – long-term.