#MyStrategyEvolution

Looking back, my early trading days were chaos. I chased every pump and panicked on every dip, letting emotions rule. My "strategy" was non-existent, leading to burnout and consistent losses.

The real shift began when I embraced risk management. Understanding proper position sizing and setting strict stop-losses became my foundation. I moved from predicting massive moves to consistently capturing smaller, safer gains, learning the crucial lesson of patience. Quality setups now trump quantity.

My strategy truly evolved with a focus on mean reversion for the BTC/USDT pair. Instead of chasing breakouts, I now identify when Bitcoin's price deviates significantly from its moving averages, anticipating a return to the mean. This involves analyzing indicators like RSI and Bollinger Bands alongside key support/resistance. It's a far more calculated approach than my initial guesswork, leading to more consistent and sustainable results. This journey proves that continuous learning and adaptation are key in crypto.