In the first quarter, my investment strategy focused on on-chain configuration, actively conducting on-chain interactions and liquidity management. All operations strictly adhered to DeFi protocol rules, coordinating with the ecosystem's development rhythm, running in an orderly manner, and effectively playing the role of price stabilization and risk hedging.
The floating losses are mainly due to the on-chain performance of high-volatility assets, which is a normal accounting reflection under strategic positioning. The overall fund safety, expectations, and logic remain clear and complete, with long-term goals unchanged.