#BreakoutTradingStrategy

My trading strategy is a mix of technical analysis and risk management. I focus mainly on swing trading, holding assets for a few days to weeks, depending on market conditions. I start by analyzing price charts, using indicators like RSI, MACD, and moving averages to identify trends and entry points. I never invest based on emotion; every trade is backed by a clear plan. Risk management is key—I use a strict stop-loss to limit losses and aim for a risk-to-reward ratio of at least 1:2. I always keep learning from market patterns and news. Patience and discipline guide my trading decisions.