@sebastiant
An exit strategy is crucial against post-airdrop black swans. Risks include contract recalls, sudden delistings, or regulatory crackdowns. A sound approach is to define liquidation thresholds beforehand: sell a portion immediately to secure value, retain a portion for upside. Use multi-exchange listings as safety nets; avoid holding illiquid tokens. Monitor governance forums for recall risks and regulatory news for compliance threats. Diversifying across wallets reduces exposure to blacklists. Exit plans should be dynamic, adapting to evolving news and market signals. Discipline, not emotion, safeguards long-term gains.