W16 Portfolio Insights: Tracking and Adjusting Positions for Optimal Returns

In W16 Portfolio Insights, I highlight key lessons on platform diversification, managing liquidity risk, and correlation monitoring. This week, I adjusted positions on Uniswap's 0.05% fee tier with overlapping ranges, tracking ETHBTC and ETHPOL correlations to optimize returns.

W16 Portfolio Insights: Tracking and Adjusting Positions for Optimal Returns
Chart of ETHPOL with Liquidity Pool Ranges.