Upgraded My Portfolio Strategy for Q2 — Here’s the New Mix
After surviving the volatility of Q1, I’ve decided to rebalance my crypto portfolio for Q2. I’m now going 40% BTC, 25% ETH, 20% SOL, and keeping the remaining 15% for high-risk altcoins like OM, INJ, and new Launchpool tokens. BTC remains the base for long-term strength, while ETH gives me that smart contract backbone. SOL is my play for scalability and potential ETF adoption. The altcoin bag is all about catching high-reward trends. I’m also starting to rotate some profits into stablecoins to avoid surprise liquidations. What’s your Q2 portfolio strategy?