This month, I decided to rebalance my crypto portfolio to reduce risk and improve long-term gains. I increased my holdings in BTC and ETH, while cutting down exposure to high-risk altcoins like PEPE and FLOKI. I also added small positions in LDO and ARB based on strong fundamentals and ecosystem development. Additionally, I’ve started using staking features on Binance to generate passive income. The key idea was to focus on blue-chip cryptos and protocols with real-world use cases. Risk management and regular review of asset allocation are now part of my strategy. Portfolio upgrades are essential for long-term success.