Continuing from the last proposal question: https://snapshot.org/#/daotaifung.eth/proposal/0x204a63294c37e934d0ba0520b2efef878ac582a7c648caef6f012532ba496c19
Second part of this proposal is
What is the % of risky/blue-chip assets we'd like in our portfolio? 1. Risky ⇒ Pre Mint. <3 months of transaction data. <50K+ volume traded. 10-20x potential. 2. Blue-chip ⇒ Post Mint. >3 months of transaction data. >50K volume traded. 2-5x potential
Question: % of Risky/Blue-Chip in our portfolio: 1. 30/70 2. 40/60 3. 50/50 4. 60/40