I recently rebalanced my crypto portfolio to better reflect market trends and my risk tolerance. Previously, I was heavily invested in altcoins, but I’ve now shifted to a more balanced approach. Currently, I hold about 50% in BTC, 25% in ETH, and the remaining 25% split between SOL, BNB, and a few DeFi tokens like AAVE and UNI. I decided to reduce exposure to meme coins and low-volume assets. This portfolio feels much more stable and gives me room for both long-term growth and short-term trades. I plan to continue monitoring the market and rebalance monthly if needed.
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