So I spent a few days researching and trying to adjust my portfolio. And I came to the conclusion that I want a more risky portfolio with the potential of high reward.
This is my portfolio now - and I won`t touch it for atleast 6 months:
Neo - 32%
XLM - 15%
Ven - 14%
ICX - 13%
NAS - 11%
HPB - 8%
XBY - 7%