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Every trading day begins with macro and on-chain analysis. I monitor global financial news, interest rate movements, and key crypto catalysts. Platforms like Glassnode and CryptoQuant help me read whale moves, exchange inflows/outflows, and network activity.
Next, I head to technical charting. Using tools like TradingView, I identify high-probability setups based on price action, support/resistance zones, order blocks, and key Fibonacci levels. I overlay this with volume profile, RSI, and MACD to validate strength or divergence.
I segment trades into Spot (long-term positions on L1s, infrastructure tokens, or undervalued alts) and Futures (short-term momentum plays, breakouts, and trend scalps). For futures, I define clear entry, stop-loss, take-profit, and adhere to a 2% max risk rule per trade.
Positions are journaled, reviewed weekly, and backtested against historical setups. Discipline > emotion. System > hunch.
This isn’t gambling. It’s strategy. Every move is calculated.
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