On this strategy we will never follow trendy coins without good fundamentals and we never panic sell or buy on FOMO.
Our goals and entry/exit zones are well defined and maintained through the investment. We define entry zones based on technical analysis, in a multi-buy incremental way, in order to have well averaged buy prices, and we sell based on market sentiment and technical projections figures.
We also take small profits along the investment, in order to save them and we reduce market exposition based on external factors like crypto calendar (options expire, forks, havlings,...), news,..
If a given crypto doesn't have good tokenomics and a solid project, it will never entry on our portfolio, no shitcoins there.