My recent trading operations have centered on observing market reactions to macroeconomic data. I've focused on identifying discrepancies between analyst expectations and actual reported figures, particularly concerning inflation and employment. My strategy involves cautious entries after initial market volatility subsides, looking for confirmation of new trends. I prioritize preserving capital through stringent stop-loss orders and only risking a small percentage of my portfolio on any single trade. Understanding market sentiment alongside technical indicators has been key. I closely monitor volume and price action to confirm conviction, always adapting my approach as market conditions evolve to optimize my risk-reward ratio.