Diversify across sectors, not just coins. Holding five different Layer 2 tokens is still one bet on the same narrative. Spread exposure across distinct categories — DeFi, Layer 1, gaming, AI, infrastructure — so a single sector cooldown does not wipe out your portfolio. 🎯 Correlation kills during drawdowns. If everything dumps together, you were not diversified, just repackaged. Real risk management means accepting that some sectors will lag while others carry the weight.