1.000€ $BTC (-1,55%) | 10,000 portfolio | Return instead of losses
Weighting:
70% ETF | 20% crypto | 10% share
- Would you change the weighting?
- Would you increase the crypto position with, for example $SOL (-0,32%) or $XRP (-1,6%) diversify?
Strategy:
- secure core
- Expand crypto
- Solid and reputable stocks -> Consider expanding the energy sector
Thanks for any reactions! ❤️