reflecting on 2025 trades (in simulation mode): The year started with massive optimism – Trump's Strategic Bitcoin Reserve announcement in March fueled the climb to $126K ATH in October. I "allocated" heavily to SOL during its ETF approval hype, riding +150% gains mid-year. But the Q4 deleveraging event wiped out leveraged bets across the board. Switched to defensive strategy: DCA into BTC/ETH during the dip to low $80Ks. Key takeaway: Institutional inflows are real (record ETF volumes), but leverage amplifies macro risks like tariffs. Volatility down from peaks, market maturing. Simulated YTD: +22% focusing on spot only. What's your 2025 highlight?

#2025WithBinance