$BNB I’ve recently upgraded my crypto portfolio to balance between large caps, mid caps, and growth tokens. Here’s a quick overview:

🔹 45% in $BTC and $ETH — for long-term stability

🔹 30% in $SOL, $BNB, $AVAX — high-potential layer-1s

🔹 15% in $OP, $ARB — exposure to L2 solutions

🔹 10% in $RNDR and $TIA — AI and modular chain plays

I rebalance every 2 weeks based on performance and macro trends. My strategy is centered on long-term holding with selective short-term trades.

How does your portfolio compare? Let’s exchange ideas.