#分散资产 Diversified asset investment can reduce risks in both the cryptocurrency and stock markets.

Cryptocurrency: Choose different types of cryptocurrencies, value storage, diversify platform risks (such as DeFi and NFT projects), and pay attention to emerging public chain projects).

Stock Market: Invest in cross-industry stocks (technology, finance, consumer goods), combine with index funds (such as S&P 500) and bonds to balance volatility.

Common Strategy: Global market diversification (such as US stocks, A-shares, Hong Kong stocks, and emerging market crypto exchanges), regularly rebalance asset ratios, and control individual investment proportions at 20%-30%. Pay attention to macroeconomic and policy changes, and adjust flexibly.

The cryptocurrency market is highly volatile, requiring caution, while the stock market is more stable, with long-term returns to look forward to.

In the current environment, BTC is the first choice, while others are trash 😂$BTC