#CryptoClarityAct Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Inizia con un attivo altamente liquido (ad es., oro o futures S&P 500). Usa il grafico a 4H per la direzione del trend e il grafico a 15M per l'ingresso. Applica una media mobile (EMA 50) per confermare il trend. Aspetta i ritracciamenti verso i livelli chiave di supporto/resistenza con conferma dall'RSI (ipervenduto/ipercomprato). Entra con una dimensione di posizione piccola (1–2% di rischio per operazione). Imposta lo stop-loss appena oltre il recente minimo/massimo di swing. Prendi profitto a 1.5–2x rischio. Evita di fare trading durante notizie ad alto impatto. Tieni un diario, rivedi settimanalmente ed evita il trading di vendetta. Concentrati sulla coerenza, non sulla velocità. Padroneggia un setup prima di scalare. La gestione del rischio è tutto.
#CryptoMarket4T Inizia con un attivo altamente liquido (ad esempio, oro o futures S&P 500). Usa il grafico 4H per la direzione del trend e il grafico 15M per l'ingresso. Applica una media mobile (EMA 50) per confermare il trend. Aspetta i ritracciamenti verso i supporti/resistenze chiave con conferma dall'RSI (reversale ipervenduto/acquistato). Entra con una piccola dimensione della posizione (1–2% di rischio per operazione). Imposta lo stop-loss appena oltre il recente minimo/massimo swing. Prendi profitto a 1.5–2x rischio. Evita di fare trading durante notizie ad alto impatto. Tieni un diario, rivedi settimanalmente e evita il trading di vendetta. Concentrati sulla coerenza, non sulla velocità. Padroneggia un setup prima di scalare. La gestione del rischio è tutto.
See my returns and portfolio breakdown. Follow for investment tipsStart with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
#AltcoinBreakout Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Start with one highly liquid asset (e.g., gold or S&P 500 futures). Use the 4H chart for trend direction and the 15M chart for entry. Apply a moving average (EMA 50) to confirm the trend. Wait for pullbacks to key support/resistance with confirmation from RSI (oversold/bought reversal). Enter with small position size (1–2% risk per trade). Set stop-loss just beyond the recent swing low/high. Take profit at 1.5–2x risk. Avoid trading during high-impact news. Keep a journal, review weekly, and avoid revenge trading. Focus on consistency, not speed. Master one setup before scaling. Risk management is everything.
Inizia con un asset altamente liquido (ad es., oro o futures S&P 500). Usa il grafico a 4H per la direzione del trend e il grafico a 15M per l'entrata. Applica una media mobile (EMA 50) per confermare il trend. Aspetta i ritracciamenti verso i livelli chiave di supporto/resistenza con conferma dall'RSI (reversale ipervenduto/ipercomprato). Entra con una piccola dimensione della posizione (1–2% di rischio per trade). Imposta lo stop-loss appena oltre il recente minimo/massimo swing. Prendi profitto a 1.5–2x di rischio. Evita di fare trading durante notizie ad alto impatto. Tieni un diario, rivedi settimanalmente e evita il trading di vendetta. Concentrati sulla costanza, non sulla velocità. Domina un setup prima di scalare. La gestione del rischio è tutto.