These are my thoughts on my asset allocation strategy:
๐ BTC: Iโm putting 62.75% of my portfolio here โ itโs the backbone and the safest bet for long-term growth.
๐ SOLV: Iโm allocating 19.66% โ it has promising potential, and I want some exposure here.
๐ Others (like PEPE, RIF): The remaining 17.59% goes to these โ theyโre riskier, but they might give some big upside.
This balance reflects my belief in Bitcoinโs stability, while also giving me exposure to emerging opportunities. Letโs see how it plays out! ๐