The play is to consolidate focus and capital in preparation for the next run up.
There is a ton of opportunity in this market but you can’t catch every runner.
Have a big picture framework, figure out where the R/R is the juiciest within it, and focus.
I have 3 key thesis for the cycle that anchor my trading/allocation:
1️⃣ $SOL to $1000+:
Solana will be recognized as the consumer chain. I expect it to continue to attract Web 2 builders and entrepreneurs. This is why I believe ICM/SOL Utility have a long way to go. Market structure bill is likely a tailwind.
2️⃣ $ETH to $15K:
ETH is on its way to becoming the internet bond. Staking ETF is coming, ETH is deflationary, and institutional adoption will skyrocket with the yield component. I plan to catch solid bullish setups on ETH on HL.
3️⃣ HODLing LT plays (on ETH/Base):
As bullish as I am on Solana, I still believe there is a ton of valuable projects on ETH & Base. It’s still the best ecosystems for LT holders. Market structure bill is likely a tailwind here too. Bullish for L1s, DeFi, and AI.
For now, we wait. In the meantime, adjust our plans, routine, and focus based on what the market is giving us. Allocate accordingly. Prioritize plays with solid R/R & fundamentals.
Don’t marry your bags. Printing time soon.
2,965
0
本頁面內容由第三方提供。除非另有說明,OKX 不是所引用文章的作者,也不對此類材料主張任何版權。該內容僅供參考,並不代表 OKX 觀點,不作為任何形式的認可,也不應被視為投資建議或購買或出售數字資產的招攬。在使用生成式人工智能提供摘要或其他信息的情況下,此類人工智能生成的內容可能不準確或不一致。請閱讀鏈接文章,瞭解更多詳情和信息。OKX 不對第三方網站上的內容負責。包含穩定幣、NFTs 等在內的數字資產涉及較高程度的風險,其價值可能會產生較大波動。請根據自身財務狀況,仔細考慮交易或持有數字資產是否適合您。

