Bitcoin: Long-Term Holding vs Active Risk Management
Many Bitcoin investors believe that the best strategy is simply to hold through every market cycle. I understand this perspective, especially because Bitcoin’s long-term adoption and scarcity are the foundation of its value proposition.
However, I’m curious how Bitcoin investors think about risk management during different market cycles.
Some holders never sell, while others take partial profits during extreme market conditions and rebuild their Bitcoin position during major corrections.
The goal is not short-term speculation, but understanding whether disciplined portfolio management can help investors stay invested while managing volatility.
How do you approach Bitcoin investing? Pure HODL, or do you adjust your position during different market cycles?
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from Bitcoin - The Currency of the Internet https://ift.tt/k8D9zeU
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