My current trading strategy hinges on a balance between macro trend analysis action. I monitor major news events, such as central bank policy decisions or economic data releases, to gauge potential market volatility. Using $BTC as a benchmark, I execute trades based on momentum shifts, confirmed by volume and RSI indicators. I tend to avoid overtrading—focusing on high-probability setups near support and resistance levels. I also maintain a portion of capital in stablecoins to take advantage of market dips. Risk management is key: I never risk more than 2% of my capital per trade. Consistency and discipline drive performance.