My trading operations are driven by discipline, data, and risk management. I focus on analyzing market trends, using both technical and fundamental indicators to identify high-probability setups. I set clear entry and exit points before each trade, ensuring emotions don't interfere with decisions. Capital preservation is key, so I strictly follow stop-loss rules and position sizing. I diversify across assets to reduce exposure and constantly review past trades to learn and adapt. I avoid overtrading and stay patient, waiting for the market to come to me. News events and macroeconomic signals are also part of my daily prep. Overall, I aim for consistent, sustainable growth rather than quick wins, keeping a long-term mindset in all trading strategies.