#MyStrategyEvolution **strategy evolution** summary:

My strategy has evolved from short-term speculation to long-term, fundamentals-driven investing. Initially, I chased hype and technical patterns, but after costly mistakes, I shifted to **risk-managed positions** and macro trends. I now prioritize **BTC & ETH** as core holdings, allocating smaller portions to high-conviction alts.

I’ve incorporated **DCA (dollar-cost averaging)** to mitigate volatility and use **stop-losses** strictly. On-chain data and institutional flows now guide entries/exits, replacing emotional trading.

Post-2022’s crashes, I focus on **liquidity cycles**, Fed policies, and adoption metrics—like ETF inflows or stablecoin growth. My latest refinement includes hedging with options during high volatility. The goal: compound gains while preserving capital.