My trading operations are primarily focused on medium-term swing trading across a diversified portfolio of liquid assets, including equities, commodities, and major forex pairs. I utilize a technical analysis-driven approach, emphasizing chart patterns, support/resistance levels, and key moving averages to identify high-probability entry and exit points. Risk management is paramount, with strict position sizing and predefined stop-loss orders implemented for every trade to protect capital. I continuously monitor market news and economic indicators to assess overall sentiment but prioritize price action in my decision-making process. My goal is consistent, compounding returns through disciplined execution and adaptable strategies.