Recently I have upgraded my portfolio to make it more balanced and well-diversified. As you can see from my portfolio report, the short-term PNL shows a small negative percentage, which is quite normal in crypto trading due to market volatility. To reduce such risks, I divided my holdings into multiple parts. A big portion is allocated to strong coins like BTC and ETH because they are stable and reliable in the long run. I also hold some altcoins for growth opportunities, while keeping a small portion in stable assets like USDT to manage sudden price drops. This portfolio upgrade helps me feel more confident, because instead of depending on one coin, I am now spreading my risk across different categories. With this new structure, I believe I will be able to handle volatility better and achieve more consistent results over time.
Ansvarsfriskrivning: Inkluderar åsikter från tredje part. Ingen ekonomisk rådgivning. Kan innehålla sponsrat innehåll.Se användarvillkor.
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