Charles Schwab's latest research indicates that cryptocurrencies like BTC and ETH are highly volatile. Even allocating just 1%–3% can significantly increase the overall portfolio volatility and alter performance under market stress scenarios. The report notes that both BTC and ETH have historically experienced drawdowns of over 70%, so there is no single "correct allocation ratio"; it should depend on the investor's own risk tolerance and loss tolerance. Charles Schwab also emphasizes that cryptocurrencies are better suited as high-risk satellite positions rather than core holdings. (CoinDesk)

BTC0,21%
ETH-0,18%
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