My investment portfolio has shown steady growth with a **cumulative PNL of 5.28%**, reflecting a strong long-term performance despite today's slight dip of **-1.46%**. Market fluctuations are inevitable, but disciplined strategy and diversification help weather short-term volatility.

Looking at the broader trends:

- **7D**: A mix of gains and corrections as the market digested recent economic data.

- **1M**: Solid upward momentum, driven by strategic positions in tech and crypto assets.

- **3M**: Consistent growth, outperforming benchmarks thanks to active rebalancing.

- **1Y**: The power of compounding is evident, with key holdings like $BTC and blue-chip stocks contributing significantly.

While today’s pullback is a reminder that no portfolio is immune to downturns, I remain confident in my approach—focusing on fundamentals, risk management, and patience.

**How’s your portfolio performing?** Are you adjusting your strategy or staying the course? Let’s discuss in the comments!