It sets strategic asset allocation targets, approves investment policies, monitors portfolio risks, and adjusts allocations based on macroeconomic changes. This ensures alignment with long-term goals and risk tolerance.
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Prioritize projects with sustainable APY, strong fundamentals, and gradual vesting to avoid dump pressure. Diversify across pools, monitor impermanent loss, and exit before high inflation or yield collapse. Always assess token utility beyond farming.
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Balanced leverage and spot-led flows. Neither euphoric contango nor stressed backwardation. Healthier structure with fewer forced unwinds; catalysts, not leverage imbalances, should drive the next big move.
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