#长期持有策略 **Core Logic of Long-Term Holding Strategy:**

1. **Coin Selection Principle**: Focus on high-consensus mainstream coins (BTC/ETH) or quality ecosystem tokens, eliminate worthless tokens;

2. **Position Management**: Accumulate in stages during bear markets (e.g., increase position by 15% for every 15% drop in BTC), avoid all-in betting;

3. **Volatility Resistance**: Ignore short-term fluctuations, ride through bull and bear cycles (typically 4 years);

4. **Exit Mechanism**: Target profit-taking (e.g., 5-10 times increase during bull markets), or reduce position on technical divergence signals.

> ✅ **Advantages**: Time-saving with low friction, capitalize on industry growth dividends;

> ⚠️ **Risks**: Need to identify long-term value of projects, beware of black swan events.

**Essentially, it’s about “time for space,” suitable for non-professional investors**.

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*Note: The annualized return of BTC dollar-cost averaging in the past 5 years is approximately 58% (better results during bear markets), but requires continuous investment for over 3 years to smooth costs.*