In the market, there is only one strategy that can truly survive in the long term:

Building positions at low levels with diversification, confirming trends on the right side, and following smart money, rather than believing in a single asset.

Top players (such as DNF) essentially scatter investments across multiple currencies, using a small number of 10x–100x or even higher returns to cover a large number of losing positions.

What we can do is not to go all in, but to focus on high clusters, high liquidity, and increasing trading volume currencies, entering during the accumulation phase and reducing positions during the distribution phase, controlling emotions and going with the trend.

The market is always full of opportunities; what is lacking is discipline and patience.