Part 6/9:
As you navigate DeFi, it's critical to continuously reassess your strategies. This involves analyzing the risk-adjusted returns of your positions regularly. Factors to consider include:
Quality of assets: Are they stable and reliable?
Correlation strength: Are the assets tied closely in performance?
Trading volume and total value locked (TVL): Is there sufficient liquidity in the market?
Sustainable APR ranges: Are returns consistent, or are they showing signs of volatility?
By checking these attributes, you can ensure that your strategies remain aligned with your investment goals.