My trading operations focus on identifying high-probability setups using technical analysis, price action, and volume-based strategies. I mainly trade major forex pairs, USOIL, and selected crypto assets. My approach includes support/resistance zones, Fibonacci levels, and breakout patterns. I monitor session overlaps—especially London and New York—for volatility and liquidity. Risk management is key: I use tight stop-losses, favorable risk-to-reward ratios, and proper lot sizing. I track economic news to avoid high-impact events unless trading with a breakout bias. My trades are mostly short to mid-term, with a preference for clean chart structures and disciplined execution based on predefined setups.