Lately, I've been torn between L2 and the mainnet, basically bouncing back and forth between saving gas and peace of mind. For small transactions and frequent swaps, I usually skip L2 because the experience is smoother; but when it comes to holding long-term positions or dealing with permissions/approvals (like contract upgrades or token approvals), I prefer to go back to the mainnet, spend a bit more gas for the psychological comfort of "fewer surprises."



Another point: don't be too superstitious about on-chain data tool tags; recently, someone was complaining about lag or even being misled. Now I mainly look at where the money comes from and where it goes, using tags as a reference, not as conclusions. Anyway, my compromise is: use cheap charts for daily operations, and rely on more certain charts for key actions... How do you guys choose?
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