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RE: LeoThread 2025-12-10 02-12

in LeoFinance7 days ago

Part 2/10:

Eugene's latest portfolio review in September 2025 reveals a significant shift towards a more defensive stance. He consciously adopted fixed income securities and increased his cash reserves. This strategic rebalancing was driven by recent market volatility and global uncertainties, especially surrounding geopolitical tensions and economic policy shifts. His cautious approach underscores his maturity: he doesn't chase quick gains but instead values stability and preparedness.

Venturing into the U.S. Market with a Well-Thought-Out Strategy