Current Portfolio Allocation:
My core holdings are strategically split between **$BNB** (96.48%) and **$BIGTIME** (1.47%), with the remaining 2.05% diversified across other blue chips & alts.
Why $BNB?
As the backbone of the BSC ecosystem, BNB offers steady utility (transaction fees, staking, launches) and consistent burn mechanics. Its deep liquidity and integration across DeFi/NFTs make it a long-term cornerstone.
Why $BIGTIME?
BIGTIME represents my high-conviction gaming/metaverse play. With its AAA-quality team, Play-to-Earn economy, and NFT marketplace integration, I’m bullish on its growth potential as adoption ramps. The 1.47% allocation reflects this asymmetric opportunity.
The Rest (2.05%):
Diverse alts for tactical swings – mostly layer-1s & AI projects. Actively rebalancing quarterly. BNB remains my anchor, BIGTIME my growth engine. Always DYOR!