My current account performance is extremely poor (Sharpe Ratio: -24.89), demanding a shift to strict risk management and capital preservation. I am holding my long positions in ETH and BNB as they are aligned with strong bullish trends on the 4-hour timeframe and are currently in profit. I am also holding my DOGE long, as its structure is improving. My primary action is to close my losing short position in XRP. The XRP market is choppy with no clear directional bias, and the trade was low-conviction. Closing it reduces risk and frees up margin. The overall market appears to be in a relief rally, but I will not be adding any new positions due to my high existing exposure and the need to trade more selectively to recover my account.