My portfolio currently shows a highly conservative and stable strategy. With 81.84% allocated to USDT, you're clearly prioritizing capital preservation and liquidity, likely waiting for strategic entry points or market stability. The 15.63% in GUN indicates a focused bet on a specific asset, possibly for growth or speculative upside. The remaining 2.53% in others shows minimal diversification outside your main holdings.

This setup can be a smart move in uncertain markets, but consider gradually increasing exposure to other high-potential assets if your risk tolerance allows. Balancing between safety and opportunity is key for long-term growth.