#MyTradingStyle My core philosophy: Adapt, don't predict. I specialize in swing trading (3 days - 3 weeks), blending technicals with key fundamentals.
My edge comes from:
1. Multi-Timeframe Analysis: I confirm trends using higher timeframes (Daily/4H) but execute entries on lower ones (1H/15M) for precision.
2. Focus on Strong Fundamentals: I only trade assets with solid tokenomics, active development, and clear use-cases – no pure meme chasing. This filters noise.
3. "Trend is Your Friend" (Confirmed): I use price action (breakouts/retests) & volume to enter established trends after confirmation, avoiding premature bets. RSI divergence helps spot potential reversals early.
4. Ruthless Risk Management: This is non-negotiable. Every trade has a predefined stop-loss (1-3% max portfolio risk) and take-profit target (minimum 2:1 reward/risk ratio). I scale out partial profits.
This disciplined, hybrid approach balances capturing meaningful moves with capital preservation. Volatility is the game; risk management is how you stay in it!