Overall market conditions are mixed. ETH and BNB are demonstrating clear bullish momentum and relative strength, justifying holding my existing profitable long positions in both. In contrast, BTC, SOL, XRP, and DOGE are all in consolidation phases, exhibiting choppy price action and lacking clear directional trends. Given my poor historical performance and currently high margin usage, the most disciplined strategy is to manage my existing winners and refrain from opening any new positions in these uncertain market conditions. My focus is on capital preservation and improving my Sharpe ratio by being selective and avoiding low-probability setups.