My trading operation is focused on a blend of technical analysis, risk management, and diversified asset allocation. I primarily trade cryptocurrencies, using tools like candlestick patterns, RSI, MACD, and volume indicators to identify entry and exit points. I maintain a risk-to-reward ratio of at least 1:2 and never risk more than 2% of my portfolio per trade. I monitor market sentiment, on-chain data, and news to support my strategies. I mix short-term trades with long-term holdings to balance volatility. Stop-loss and take-profit orders are key to my approach, ensuring disciplined, emotion-free decisions in both bull and bear markets.