I focus on understanding the institutional logic behind price movements, trading fakeouts, mitigations, and liquidity zones with precision.
Each trade is managed with strict risk control (0.5% – 1.5%) to keep drawdowns low and profits consistent.
Monthly Target: +2% to +10% Maximum Drawdown: 20%
Transparency, discipline, and emotional control are the foundation of my approach. This strategy is ideal for those seeking steady, sustainable growth with controlled risk.