I would like to see a post explaining how to track performance in crypto from a risk management point of view. The amount of BTC in your portfolio, given a certain tolerance to risk (let's say 2-5% of your portfolio), is not determined by the rest of the portfolio or by bitcoin itself because you've additional risk that doesn't show clearly: you might win in alts/btc but loose in overall FIAT currencys.
You are viewing a single comment's thread from: