The biggest regret this time is that I couldn’t buy $XRP and $SOL in time. For a full month, on-chain monitoring showed institutions accumulating—especially when the price hit $1; the accumulation reached an insane level at $XRP . I recognized it, but my execution wasn’t thorough. It’s okay to accept—don’t make excuses for mistakes.

The biggest gain was buying $ETH for 1,576 U. After 2–3 months of consolidation, I’ve still held onto it. The main reason I was able to hold is that my position sizing stayed within a reasonable range, and I felt at ease—so even if it drops again, I still have a plan to respond. This is part of the swing/medium-term trading strategy.

Whether your position management is reasonable really determines whether you can hold your position. Otherwise, that 60% gain likely would have been realized too early because of impatience and fear.

Now it’s clearly the early stage of a bull market. This position has shifted into a medium- to long-term strategy. I’ll look for an opportunity to add more, with a medium-term target of 4,000 U.

#三周期交易法 #ETH