I need to consider reconfiguring my long-term positions
When I configured in September last year, I thought about the direction of the sector, but I was a bit impatient in the operation
Due to the limited amount of funds (relatively small) and the FOMO mentality, I was not sure about the position allocation of each currency, so I chose the most brainless split mode, and configured 11 targets, which is a bit too much to be honest
The disadvantage is that the funds are not concentrated enough to get big returns
The advantage is that the risk is low enough, and I am rigorous in selecting coins, so it is relatively difficult to suffer losses
There is no way, I was All in Crypto at the time, I don’t want and can’t be crushed by one coin
Now that this combination has been running for half a year, it can be seen who is strong and who is weak, and who the market favors more
Next, the number of positions needs to be appropriately adjusted and deleted, and try to reduce it to less than five