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I don’t understand how those high-APY yield aggregators actually calculate their returns. Just looking at the numbers is pretty tempting, but when you think about all the contract logic and the counterparty risk behind it, it’s actually pretty scary. Anyway, I personally don’t really dare to go in too aggressively. My positions are like growing plants—if you water them too much, the roots will rot, right?
Since the unlock calendar came out, everyone’s been talking about sell pressure. I’m just used to entering and exiting in batches—using time to buy myself some breathing room, you know. Why rush? If I can’t outperform the broader market, then I’ll just take it slow and grind it out. I just saw a strategy that seemed pretty interesting, so I’ll screenshot it to remind myself later—alright, that’s it for now. Good night.