My portfolio shows a healthy 7.31% gain over the past week, which is a solid short-term performance. The allocation is heavily weighted toward XRP (44.81%), making it high-risk if XRP underperforms. Diversification exists through WCT (26.44%) and SOLV (5.79%), but other tokens like BMT, BANANAS31, and the 15.39% in “Others” offer relatively low exposure. Consider balancing further by reducing dependency on one coin and adding blue-chip assets like BTC or ETH for stability. Overall, the recent positive trend is promising, but be mindful of volatility and overconcentration. Regular rebalancing and risk management will help long-term growth.