My portfolio maintains a balance between large-cap assets and promising altcoin projects. I assign percentages based on perceived risk and growth potential, periodically adjusting according to market conditions. I include a portion in stablecoins to take advantage of opportunities during corrections. Diversification by sectors (Layer 1, DeFi, AI) helps mitigate risks. How do you structure your portfolio in this environment? Share your selection criteria and risk management strategies to exchange ideas on effective strategies in the changing crypto world.
