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TradingFramework

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Mazzei95
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From random buys to structured decisions: the checklist that changed my last 30 days. Quick context: last month my portfolio went from $2.76 to $520 (+18,873%) and I added +$146.69 from Earn/staking. Not luck — process. Here’s the 5-step framework I now run before entering any position: 1) Thesis & Catalyst What needs to happen for this asset to reprice? Narrative (AI, L2, RWA), upgrade, unlock relief, volume rotation, etc. 2) Liquidity & Volume Trend Is volume growing on 7D vs 30D? Is there depth to exit if I’m wrong? 3) Tokenomics Reality Check FDV vs MC, unlock schedule, emissions, real yield/APY, inflation. If I can’t explain it in 2 lines, I don’t size big. 4) Position & Entry Plan • DCA bands (e.g., 3 entries) • Max % of portfolio • Invalidation level (price or thesis-based) 5) Exit & Yield Plan • TP1 / TP2 / time-based exit • Stake or lend if it pays to wait • Post-mortem after the trade (what worked / what didn’t) My personal rule: no FOMO buys, no revenge trades, and every position needs an exit before the entry. What would you add (or remove) from this checklist? If you want the template I use to journal each trade, comment LOG and I’ll share it. #CryptoEducation #TradingFramework #RiskManagement #BinanceFeed #staking
From random buys to structured decisions: the checklist that changed my last 30 days.

Quick context: last month my portfolio went from $2.76 to $520 (+18,873%) and I added +$146.69 from Earn/staking. Not luck — process.

Here’s the 5-step framework I now run before entering any position:

1) Thesis & Catalyst
What needs to happen for this asset to reprice? Narrative (AI, L2, RWA), upgrade, unlock relief, volume rotation, etc.

2) Liquidity & Volume Trend
Is volume growing on 7D vs 30D? Is there depth to exit if I’m wrong?

3) Tokenomics Reality Check
FDV vs MC, unlock schedule, emissions, real yield/APY, inflation. If I can’t explain it in 2 lines, I don’t size big.

4) Position & Entry Plan
• DCA bands (e.g., 3 entries)
• Max % of portfolio
• Invalidation level (price or thesis-based)

5) Exit & Yield Plan
• TP1 / TP2 / time-based exit
• Stake or lend if it pays to wait
• Post-mortem after the trade (what worked / what didn’t)

My personal rule: no FOMO buys, no revenge trades, and every position needs an exit before the entry.

What would you add (or remove) from this checklist?
If you want the template I use to journal each trade, comment LOG and I’ll share it.

#CryptoEducation #TradingFramework #RiskManagement #BinanceFeed #staking
My Assets Distribution
XRP
DOT
Others
34.86%
22.25%
42.89%
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