I follow a balanced trading strategy combining technical analysis and market sentiment. My portfolio is split into 60% long-term holds like #BTC and #ETH, while 40% is allocated to short-term trades in trending altcoins such as $SOL, $MATIC, and $LINK. I use support/resistance levels, RSI, and MACD for entry and exit points. Risk management is key—I limit each trade to 2% of my capital and always set stop-loss orders. I review market news daily and adjust my strategy based on macroeconomic factors and on-chain data. Consistency, patience, and discipline drive my trading operations. Profit follows preparation and smart execution.