In the highly volatile cryptocurrency market, diversified investment is the core strategy to withstand high risks. It can avoid the pitfalls of single project crashes, exchange risks, and fluctuations in market cycles, as highlighted by the profound lessons from the Terra collapse and exchange failures. It is recommended to adopt a 'core + satellite' strategy: allocate 60% to mainstream coins like BTC/ETH, 30% to potential sectors, and 10% to stablecoins, stored in cold wallets to diversify storage while avoiding excessive diversification. Select 5-8 quality assets to balance risk and return. #分散资产