I try to do this:
- after ICO, on the first high, I drain the volume that I spent on the ICO, as a rule, after the release of the coin, they make a slight increase (x2-x3-x5), this is to return the investment and reach the break-even point. Accordingly, 20% -50% are sold
- the rest, if the project has potential, I leave it for the medium-long term.
In this scheme, not everything is perfect, but it turns out to minimize risks.
This is a good strategy indeed. I realized making such kinds of strategies in ICO listings a bit later which saved my seed investment. If I would have applied this strategy, I think I would have a good position!