My trading operations are structured and disciplined. I begin each day by analyzing charts using technical indicators like RSI, MACD, and support/resistance levels. I focus mainly on BTC, ETH, and USDC pairs. I set clear entry and exit points with tight stop-loss orders to manage risk. I avoid emotional trading by following a predefined plan and journaling every trade for review. I use both centralized and decentralized exchanges depending on market conditions. Risk management is key—I never over-leverage and typically risk only 1-2% per trade. Consistency and learning from past trades help refine my strategy and improve performance over time.
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