I actively manage my trading operations with a mix of technical analysis and risk management strategies. My typical trading week includes monitoring key indicators such as RSI, MACD, and Fibonacci levels. I use stop-loss orders to minimize downside and often take partial profits to lock in gains. My portfolio includes BTC,ETH, and a few altcoins with solid fundamentals. I avoid overtrading and focus on quality setups. Each trade is logged with entry/exit points and rationale for future review. I follow global news, FOMC meetings, and market sentiment closely. Overall, my trading approach is disciplined, data-driven, and continuously evolving.