#分散资产 The first theme of this in-depth discussion on risk management—#分散资产
Diversification is the core strategy for building a robust investment portfolio. By spreading funds across different types of assets (such as stocks, bonds, cryptocurrencies, and other alternative assets), you can reduce overall risk, mitigate the impact of single asset volatility, and enhance the stability of long-term returns. Mastering how to select high-quality assets, optimize allocation ratios, and adjust investments in a timely manner is key to achieving steady growth.