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Topic: Which strategy for long-term investment on diversified portfolio? (Read 149 times)

newbie
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Good day!

I have invested in crypto and I am looking for a good strategy for medium/long-term investment (let's say 3-4 years).

So far, I constituted a portfolio as follows:
BTC: 55%
ETH: 20%
BCH: 9%
Other alt: 15%

In this bag of 15%, I have ~23 altcoins, namely: LTC, DASH, XRP, NEO, XEM, ETC, XMR, QTUM, ZEC, EOS, WAVE, STRAT, REP, GNT, BAT, FCT, SALT, CVC, MTL, MCO, STORJ, MLN, and POT for fun.
In addition, 1% is invested in ICO, e.g. Utrust.

I am not a high technician in crypto and I do not have enough time resources to dive into the specifics of each altcoin. That's why I chose to diversify a lot these 15% based on their high capitalisation and based on cross-checking recommendations from different experts.

Thus, I would like to hear from you whether you think that it is a good approach, how would you manage such portfolio and what you would expect from it.

Looking forward to the good discussion! Smiley
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