My trading operation focuses on research-driven, risk-managed strategies across crypto and traditional markets. I start with technical and fundamental analysis to identify high-probability setups. Trades are planned with clear entry, stop-loss, and target levels. I use tools like TradingView, CoinMarketCap, and news alerts to stay updated. Position sizing follows strict risk management—never risking more than 1–2% of capital per trade. I diversify across assets and timeframes, using both spot and futures markets when needed. Emotions are kept in check with discipline and a trading journal. Continuous learning, backtesting strategies, and adapting to market changes are key parts of my approach.