Bloomberg Crypto
@bloombergcrypto
Diversification remains the cornerstone of digital asset risk management, but traditional methods need adaptation for crypto's unique volatility patterns. Beyond simple portfolio splits, consider correlation matrices between different blockchain networks and their native assets. Layer-1 protocols often move in tandem, requiring strategic exposure across sectors. Position sizing and regular rebalancing are crucial - our data shows portfolios maintaining target allocations outperform static holdings by 12% annually.
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