Markets rarely move in a straight line. There will be pullbacks, fakeouts, and plenty of moments when it feels easier to step aside. My approach is to stay focused on the bigger picture rather than chase every green candle. My portfolio is positioned across different levels of risk: 🏦 Core conviction: $BTC $ETH 🚀 Growth & ecosystem exposure: $SOL $XRP 🎯 Higher-risk plays: $KAITO $BEAT 💵 Dry powder: Keeping cash available for major dips and new opportunities. A few things I’m watching closely