#CryptoReboundStrategy
The "CryptoReboundStrategy" refers to approaches aimed at capitalizing on the volatility and rebound tendencies within the cryptocurrency market.
This involves periodically adjusting your crypto portfolio to maintain your desired asset allocation. The idea is to sell assets that have increased in value and buy more of those that have decreased, thus buying low and selling high. Articles from CoinCodeCap and Holderlab.io discuss various rebalancing strategies for crypto portfolios, highlighting how rebalancing can affect portfolio performance.