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

My portfolio includes elements of both long belief and short opportunity. I am long Bitcoin and Ethereum primarily because they have historically acted as the ones leading the market cycles. Additionally, I maintain a variable portion of my assets in promising altcoins, defined as having a use case that meets a real demand and an active community. I do not throw in and hype all in, I vary my investments to minimize risk.

I also have high-risk and low-risk staking in my portfolio. A small portion is allocated to early-stage projects that potentially provide significant upside, while I do prioritize proven assets to have the greatest majority of my portfolio.

In addition, I always keep some USDT in order to place quicker entries if market dips or if market breaks out.

Portfolio management is not just about pivoting towards every trending asset or directing your whole portfolio into one type of risk—it is about creating consistency, adjusting when needed and protecting your portfolio from going in complete disarray.

It is important to know everybody has different goals, so there is no right or wrong way for everybody. My strategy may not work for you.

Stay agile, stay curious and always do your own research (DYOR)!