#MyTradingStyle My trading style blends technical precision with disciplined risk management, primarily rooted in Smart Money Concepts (SMC) and ICT (Inner Circle Trader) methodologies. I focus on market structure, liquidity zones, fair value gaps (FVGs), and institutional order flow to make strategic entries. Instead of chasing price, I wait for the market to come to key levels—often where smart money operates.
I trade mostly in spot and futures markets, using multi-timeframe analysis to identify high-probability setups. I prefer 3-step confirmation: (1) Identify trend direction and draw liquidity zones, (2) Wait for price reaction and displacement, (3) Confirm entry with a refined breaker or mitigation block. Patience is key—I only enter trades when all conditions align.
Risk management is non-negotiable. I use tight stop-losses, usually below/above liquidity sweeps, and never risk more than 1-2% per trade. I also trail profits once trades reach a key internal liquidity zone.
Emotion-free execution, journal reviews, and continuous learning keep me consistent. I don’t overtrade—I trust my system and stay out when the market is choppy. Whether I’m trading BTC, ETH, or altcoins, I let the market structure and liquidity narrative guide my every move. My style is precision over prediction—always.

