Explore my portfolio mix. Follow to see how I invest!

I’ve just updated and reviewed my portfolio, and while the current performance shows a drawdown of -27.21% in asset analysis and -2.92% in cumulative PNL, I see this as a chance to learn and adapt. My primary holding is TRX, which currently makes up 99.94% of my allocation, with tiny fractions in BTC and others. I’m closely monitoring market conditions and considering rebalancing to diversify more efficiently. Despite the dip, I remain optimistic about long-term recovery, especially with TRX’s strong ecosystem and development activity. This journey is about growth, both financially and strategically.

Let’s see how this evolves!