#MyTradingStyle $ My portfolio shows a dominant allocation of 89.40% to USDC and 26.59% to FDUSD, both of which are stablecoins designed to maintain a stable value, typically pegged to the US dollar. This suggests a strong preference for capital preservation and minimal risk exposure.

My cumulative PNL of 0.22% and today's PNL of -0.06% further reinforce this, indicating very little volatility in my overall returns. The minor allocations to SOLV (1.03%), BMT (0.70%), and RIF (0.68%) are relatively negligible and likely represent a small exploratory or speculative portion of my portfolio, rather than a core investment strategy. This approach is typical of someone prioritizing stability over high growth potential.