đ ZEC Update: Switching From Trading to Risk Management
ZEC is no longer a short-term trade for me â itâs a risk-management position.
After the governance shock, price action changed the game. This isnât about panic or predictions anymore. Itâs about protecting capital and waiting for clarity.
My approach now: âą No averaging down
âą No futures hedging
âą No reacting to whale posts
âą Watching for relief rallies, not forcing exits
Selling into fear is rarely smart. Holding blindly is just as risky. The balance is patience with structure.
Sometimes the best trade is doing nothing until the market shows its hand.