sjgahn
Edited
New strategy included in the portfolio I have been developing a new strategy with a very volatile asset which is $FNGU. Basically, when the asset is very oversold, I open a long position. I am going to do this with a very small part of the portfolio. The worst trade of this strategy was after FNGU was oversold for 13 days, so the strategy will incorporate a progressive positioning scheme to avoid trades like that. Therefore, the optimal portfolio, for the time being, will be: 35% $TQQQ / $UPRO "Long with Filter Strategy" 20% Single Stocks "Neutral Strategy" 10% $BTC "Long with Filter Strategy" 5% $ETH "Long with Filter Strategy" 5% $SOL "Long with Filter Strategy" 5% $FNGU "Oversold Strategy" 20% CASH $BIL Best, S.