Allocate more significant part of treasury (25, 33 or 50%) into long term portfolio which will hold top 10 (and later even more) non-exchange owned cryptocurrency ecosystems.
My starting portfolio choices and their corresponding portfolio weights which are subject of change, rebalance and replacement when new promissing cryptocurrency ecosystems appear as decided by community vote and available USDT in portfolio:
BTC (30 %)
ETH (20 %)
XRP (5 %)
DOT (5 %)
NEAR (5 %)
AVAX (5 %)
SOLANA (5 %)
QNT (5 %)
ATOM (5 %)
MATIC (5 %)
USDT (10%)
ENTRY now when BTC and ETH are trading below or near fair value logarithmic regression bands (currently 15660 USD for BTC and 1386 USD for ETH) and market is experiencing extreme levels of fear and uncertainty which is currently occuring
EXIT from each cryptocurrency when either of following two conditions are satisifed:
1. IF BTC or ETH get in 5% or less vicinity near their 2nd upper logarithmic regression band extension (around 115 000 USD at this moment for BTC and 10 250 USD for ETH with rising tendency as the time passes)
EXIT all cryptocurrencies in portfolio into USDT
2. IF other cryptocurrency crosses its own 3rd upper logarithmic regression band extension earlier before BTC or ETC get in vicinity of their 2nd regression band from previous condition EXIT from that cryptocurrency into USDT