I’ve been actively managing both spot and futures crypto trading to diversify strategy and manage risk. In spot trading, I focus on solid projects like BTC, ETH, and BNB, buying during market dips and holding for medium-term gains. BNB remains strong due to its utility in the Binance ecosystem and steady demand.

On the futures side, I trade with low leverage (2x–5x) to reduce liquidation risk, entering long or short positions based on technical setups, funding rates, and market sentiment. The recent volatility—driven by macro trends and ETF flows—has created solid short-term opportunities.

I track open interest and liquidation zones daily, always applying strict risk management with stop-losses and defined position sizing. Diversification across pairs helps smooth out volatility. Crypto remains high-risk, but with discipline and data-backed moves, it’s been an effective way to grow my portfolio.

$BTC $ETH $BNB