#MyTradingStyle

My approach blends technical analysis with strict risk management. I focus on **swing trading**, holding positions for days to weeks, capitalizing on momentum shifts identified through price action and key indicators (RSI, moving averages).

I prioritize **capital preservation**: no trade risks >2% of my account, and I set clear stop-losses. Patience is crucial—I wait for high-probability setups aligning with the broader trend.

While I plan trades meticulously, I stay adaptable. Market sentiment can shift, so I reassess and pivot when needed. Continuous learning and emotional control are my foundations.