I’m positioning long on $BTC and $ETH with a disciplined and calculated approach. The plan is simple: target profits between 50% and 200%, while protecting capital by moving the stop-loss to entry once momentum confirms. This eliminates downside risk and allows the trade to run freely.
Risk management remains the priority. I’m using low margin exposure to avoid liquidation pressure and maintain flexibility. This also allows room for DCA (Dollar-Cost Averaging) if volatility creates better entries. Strong assets like BTC and $ETH tend to reward patience, especially during accumulation phases.
The key is not overleveraging. Survive the volatility, and let the trend work in your favour.
Stay disciplined. Manage risk. Capture the move.