Trading Operations Update: Strategy & Execution

In our current trading operations, we’re maintaining a balanced approach across spot and futures markets on Binance. Our primary focus remains on high-liquidity pairs like BTC/USDT, ETH/USDT, and SOL/USDT. We’re using a mix of momentum and mean-reversion strategies powered by custom indicators and sentiment analysis tools. Capital allocation is dynamic, adjusting based on volatility and macro conditions. We also employ risk management protocols, including tight stop-losses and position sizing capped at 2% of total capital per trade. We’ve seen strong performance from short-term scalping during high-volume sessions. Overall, we’re emphasizing consistent execution, data-driven insights, and disciplined risk controls.