It’s funny how this works. I’ll have a stretch where I’m deep in the weeds monitoring liquidity pools, tweaking strategies, the whole nine yards. Then, after a rough patch or a draining bear market, I’ll tell myself I’m done. I’ll delete the portfolio apps, mute the crypto Twitter feeds, and try to forget about it. But it never lasts. A few months later, I’m quietly checking charts again, and before I know it, I’m back setting up limit orders. It’s like a weird on-again, off-again relationship. Does anyone else go through this? How do you find a healthier balance so it doesn’t feel so all-or-nothing?