This week my portfolio dropped by **-0.27%**, with **today's PNL at -0.09%**. It’s been a slow bleed since June 14. The chart shows a small dip mid-week, followed by a steeper decline heading into today.

My holdings are mainly in **USDT (97.72%)**, keeping it safe for now. I'm still experimenting with small caps:

* **BANANAS31** – 2.03% of my bag, currently at **\$0.005284**, down **-6.41%** in the last 24h. Risky, but I'm watching it.

* **BONK** – 0.24%, hasn’t moved much.

* **SHIB** – Basically just holding dust, 0.01%.

Watching the market closely. Might rotate a bit if this trend continues. Let's see how the weekend closes.