$BTC short-term strategy focuses on high-volume assets like $BTC and $ETH, using a mix of breakout scalping and RSI-based mean reversion trades. We’ve set tight stop-losses due to heightened volatility across macro and geopolitical fronts. On the longer-term front, we’ve rotated a portion of capital into layer-2 projects with growing ecosystem traction, while closely monitoring ETH staking inflows and Bitcoin dominance metrics. Liquidity pools are also being rebalanced to adjust exposure. Risk management remains key—no position exceeds 2% of total portfolio allocation. Every trade is tracked with detailed journaling and analytics
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