Currently sitting on quite a few altcoins in my portfolio—got positions in AURA, JOKER, MASK, PENGU, SPX6900, RETIRE, TROLL, SACHI, PFP, MANYU, ARMY, GIGA, and MOMO. Been holding these for a bit now, but honestly wondering if there's something I'm missing. Before making any moves, curious what people think the gaps are in this setup. Are there any major plays I should consider adding to round things out, or is this the kind of diversification that actually makes sense right now?
This page may contain third-party content, which is provided for information purposes only (not representations/warranties) and should not be considered as an endorsement of its views by Gate, nor as financial or professional advice. See Disclaimer for details.
5 Likes
Reward
5
3
Repost
Share
Comment
0/400
PermabullPete
· 10h ago
Wow, this combination is really a bit messy, feels like there's no logic to it.
View OriginalReply0
NullWhisperer
· 10h ago
ngl, that's a lot of bags to keep track of. technically speaking, you're missing any actual thesis here—just looks like "throw spaghetti at shitcoin wall" diversification tbh. where's the protocol layer play? where's the infrastructure angle? audit findings suggest most of these are just... vibes, which is questionable implementation imo.
Reply0
SandwichTrader
· 10h ago
This combination feels quite scattered, seems like there's a lack of a main storyline?
Currently sitting on quite a few altcoins in my portfolio—got positions in AURA, JOKER, MASK, PENGU, SPX6900, RETIRE, TROLL, SACHI, PFP, MANYU, ARMY, GIGA, and MOMO. Been holding these for a bit now, but honestly wondering if there's something I'm missing. Before making any moves, curious what people think the gaps are in this setup. Are there any major plays I should consider adding to round things out, or is this the kind of diversification that actually makes sense right now?