A 73% collapse in just weeks is a reminder that a treasury strategy is only as strong as its risk management.
Buying a large amount of a volatile asset near peak optimism can quickly become a balance sheet problem when the trend reverses. That's exactly why position sizing and capital preservation matter more than conviction.
If AVAT can reclaim key resistance with strong volume, sentiment can recover. Until then, I would focus on confirmation over catching what looks "cheap."
The biggest losses usually come from assuming a 70% drop can't become an 80% drop. $AVAX
Buying a large amount of a volatile asset near peak optimism can quickly become a balance sheet problem when the trend reverses. That's exactly why position sizing and capital preservation matter more than conviction.
If AVAT can reclaim key resistance with strong volume, sentiment can recover. Until then, I would focus on confirmation over catching what looks "cheap."
The biggest losses usually come from assuming a 70% drop can't become an 80% drop. $AVAX