I focus on swing trading stocks and ETFs, holding positions for days to weeks. My strategy combines technical analysis (support/resistance, moving averages, RSI) with fundamental trends (earnings growth, sector strength). I use a risk-reward ratio of 1:3, risking 1-2% per trade. Entries are based on breakouts or pullbacks in uptrends; exits follow trailing stops or target zones. I trade mostly liquid large-caps to avoid slippage. Pre-market scans highlight potential setups. Journaling every trade helps refine my edge. Discipline and patience are key—I avoid over trading and stick to my plan.