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byungwan park
@ohoo
To balance crypto portfolio risks, the key is diversification across narratives, time horizons, and risk profiles. Here's a solid framework: πŸ” Balance Strategy 40% Blue Chips – BTC, ETH, SOL: long-term conviction holds. 30% Mid-Caps – promising L1s/L2s, DeFi leaders, or strong infra plays. 20% High-Risk / High-Reward – early-stage tokens, microcaps, or narrative plays (e.g., AI x crypto). 10% Stablecoins – for yield farming, dry powder, or defense. πŸ“‰ Risk Management Tactics Position Sizing: Never risk more than 1–3% per position on volatile small caps. Take Profit Discipline: Ladder out at key multiples (2x, 5x, 10x). Rebalance Monthly: Rotate gains from moonshots into safer assets. πŸ”’ One Non-Negotiable Rule β€œNever FOMO into green candles.” Emotion is the enemy of wealth. If it’s already pumped, wait or miss it. Discipline > hype.
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