I understand if you're not interested in suggesting specific portfolios but I'm thinking the following:
XVG, TRX, EOS, BNB, OMG, IOTA, SALT / Higher Risk 50%
BTC, LTC, ETH, XRP, DASH, XMR, NEO / Lower Risk 50%
I understand if you're not interested in suggesting specific portfolios but I'm thinking the following:
XVG, TRX, EOS, BNB, OMG, IOTA, SALT / Higher Risk 50%
BTC, LTC, ETH, XRP, DASH, XMR, NEO / Lower Risk 50%
Keeping both would provide more derisk profile.
Amazing; the 50% value was in reference to weighting of each risk category - I may lean towards a 65-35% split on the riskier side depending on some factors.