Recently I saw news about an upgrade on a certain chain, and the group chat is once again speculating whether the ecosystem will undergo a major reshuffle. Honestly, why would retail traders bother figuring out the underlying logic of block builders and bundles? Knowing that it affects gas-fee ordering and frontrun risk is enough—we’re not trying to become validators.



Anyway, I personally prefer to split transactions, spread them across chains into several baskets, and pair them with some low-correlation assets. If a bundle ends up absorbing transactions or reordering them, it won’t be like a single shot completely blowing through the position. Managing exposure is more practical than researching the details of these black boxes.
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