Fast forward 6 months, the portfolio’s up heavy. Regret selling $TLNE and $ONDS (-3,4 %) early (especially $ONDS (-3,4 %) from 2 → 11 in 4 months). $BITF (-7,84 %) helped offset some of that.
Core remains long-term, but I’ve carved out a small short-term sleeve in $BMNR (-8,56 %) , $SBET (-9,73 %) , $JD (-2,55 %) and $OSCR (-0,99 %) .
Plan: take profits by year-end and rotate back into core themes ( AI, Nuclear, Space, Quantum, and Robotics) as i have too many positions right now even after selling some
