#MyTradingStyle Consistency, discipline, and data — that’s the foundation of #MyTradingStyle. I focus on a hybrid approach combining technical analysis with macroeconomic awareness. I don’t chase hype; instead, I wait for confluence: when indicators align with market sentiment and fundamentals. I use tight risk management, typically risking no more than 1–2% per trade, and rely on tools like RSI, moving averages, and volume analysis. I journal every trade and review weekly to identify patterns and mistakes. Patience is my edge — I’d rather miss a trade than force one. Success isn’t about being right all the time, but about managing risk and sticking to a proven plan.
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