I feel that there is not much time left before the next round of market outbreak. Have you made reasonable differentiation of your funds?

Here, I will share my personal fund differentiation strategy. BTC, ETH and SOL are configured as large positions, accounting for 30% to 50% of the total funds. In addition, take out 20% of the funds for long-term orders, and do not check them frequently after buying them, and hold them until March to April 2025. The remaining 30% of the funds are used to operate hot currencies and conduct short-term and medium-term transactions. After this round, you can basically have a layout of major currencies.