My trading operations focus on a mix of short-term opportunities and long-term positioning. I analyze market trends daily, using technical indicators like RSI, MACD, and volume patterns to identify entries and exits. Risk management is key—I set strict stop-loss and take-profit levels to protect capital. I diversify across crypto, stocks, and sometimes forex, depending on market conditions. I stay updated on economic news and events like FOMC meetings or inflation data, which often trigger volatility. Emotions are controlled by sticking to a well-tested strategy. I also review my trades weekly to learn and improve. My goal is consistent growth, not overnight success—discipline, patience, and adaptability define my trading style.