As an investor in the cryptocurrency market, I am well aware of how important it is to build a reasonable and sustainable portfolio in this highly volatile and uncertain field. After a period of exploration and adjustment, I have gradually formed my own investment strategy and continuously optimized it to adapt to market changes.

### 1. My Overall Strategy

My principle is 'Seek Progress While Maintaining Stability', focusing on the balance between risk control and returns. Specifically, my investment portfolio is divided into the following parts:

1. **Stable Assets (50%)**: This portion is mainly allocated to mainstream cryptocurrencies that are technically mature and have strong network effects, such as Bitcoin and Ethereum. As the 'core assets' of the market, they not only have high liquidity but also provide basic returns for the portfolio, serving as the ballast of the entire investment strategy.

2. **Growth Assets (30%)**: This part of the funds is directed towards some promising projects that are not yet widely recognized, such as Layer-2 solutions, NFT infrastructure, and DeFi innovation protocols. These projects have higher risks but may also bring excess returns.

3. **Allocation Assets (15%)**: Used to invest in technology tokens or cross-chain bridging projects that are closely tied to actual application scenarios. These projects have significant growth potential and are supported by clear market demand.

4. **Risk Management Fund (5%)**: This portion of funds serves as an emergency reserve, used to timely adjust positions or replenish high-quality targets during market fluctuations.

### 2. My Investment Keywords

1. **Long-Term Perspective**: I believe the core value of the cryptocurrency market lies in technology-driven and ecosystem building, rather than short-term price fluctuations. Therefore, I prefer medium to long-term layouts, avoiding frequent operations that lead to increased costs and reduced returns.

2. **Diversified Allocation**: Although mainstream coins occupy a large proportion, I still appropriately adjust a small portion of my positions based on market trends to invest in high-potential niche projects. This strategy not only helps avoid the risks of a single asset but also captures more opportunities.

3. **Discipline and Patience**: Whether the market is in a bull or bear phase, I will strictly execute according to the established strategy and calmly face the situation.