This week, my portfolio witnessed a dynamic ride. After a sharp rise of +12.27% last week, today's Asset Analysis shows -0.70%. Market sentiment shifted with sudden volatility, especially driven by macroeconomic uncertainties like the rising U.S. national debt. I’m keeping a close eye on BTC and ETH since they're acting as hedge assets during such unstable periods. Despite the dip, I’m holding my positions, waiting for the next breakout. My short-term strategy is to wait and observe, while long-term confidence remains strong. Crypto is a game of patience. Let's see how this plays out next week!

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