I've been actively trading a few stable and volatile pairs this week to balance my risk and reward. My strategy involves using technical analysis indicators like RSI and MACD, coupled with news-based sentiment tracking. I recently took short positions in a few overbought tokens while hedging with $USDC . I also opened a long on $ETH after it held support on a 4-hour chart. I always set tight stop-losses and manage my risk per trade. I've seen decent gains lately, and I make sure to log every trade in my tracker for post-analysis and learning. Risk management is key!