#MyTradingStyle

## My Trading Style: Accuracy, Discipline, and Adaptation to the Market

In my trading, I adopt a **hybrid strategy** that combines fundamental technical analysis with strict risk management, focusing on three key principles:

### 1. **Multi-Timeframe Analysis**

- I study price movement on **4 timeframes** (daily - 4 hours - 1 hour - 15 minutes).

- Examples:

- Enter a buy trade only if the **trend is bullish on the daily timeframe** + **correction on the hourly timeframe**.

- Use **Fibonacci levels** to identify support/resistance points.

### 2. **Capital Management: Minimize Risks, Maximize Profits**

- I do not risk more than **1% of capital** on any trade.

- I use a **3:1 reward/risk ratio** (for example: stop loss of 10$ against a target profit of $30).

- I distribute the portfolio across a **maximum of 3 assets** to avoid excessive exposure.

### 3. **Adapting to Market Context**

- In **bull markets**:

- I focus on **buying at support** (like the EMA 20 crossover with price).

- I target **high liquidity assets** (BTC - ETH).

- In **bear markets**:

- I switch to **short selling** or **investing in stablecoins**.

- I use **Limit Orders** to buy digital gold (like digital gold) at oversold levels.

### 4. **Preferred Tools**

- **Indicators**:

- MACD (to confirm momentum).

- RSI (to avoid overbought/oversold conditions).