I’m a data-driven trader with a disciplined and structured approach to the markets. My trading style combines technical analysis, short-term market behavior, and risk management to build strategies that are consistent and repeatable. I focus on identifying high-probability setups by analyzing volatility, momentum shifts, and cross-asset correlations rather than reacting impulsively to price movements.
Risk management is at the core of my process: I size positions carefully, use predefined stop-loss levels, and prioritize capital preservation over unnecessary exposure. I continuously monitor my performance, review my trades, and refine my strategies based on measurable results rather than emotions.
Overall, I’m a trader who values consistency, discipline, and long-term sustainability. I rely on analytics, structured decision-making, and a rational mindset to improve my edge and stay aligned with my trading plan in any market environment.
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Experience in securities trading
Risk class 1:
3 or more years
Risk class 2:
3 or more years
Risk class 3:
3 or more years
Risk class 4:
3 or more years
Risk class 5:
3 or more years