Have you implemented this increase? The trading strategies that I use.
Yes, I took part of this increase, and I did not choose just one direction, but rather diversified the risks. These are the strategies I rely on:
I allocate a large portion of the wallet to major currencies like BTC and ETH: because they are relatively safer if there is a major correction.
I keep a smaller percentage in high-growth Alts like SOL and some projects that show strong opportunities, but they are more volatile.
I use a staggered entry strategy (scale in): that is, I enter in stages, for example, buying at strong support levels, and also a portion to buy after confirming a breakout of resistance.
I place stop loss orders (stop loss) on the most risky assets to minimize potential losses if the market suddenly reverses.
I monitor regulatory news ( laws, central bank financial policies... ) because they quickly affect the general mood of the market.
I monitor momentum indicators (RSI, MACD) on different time frames to ensure that momentum is still supporting the rise and not just overbought.
This page may contain third-party content, which is provided for information purposes only (not representations/warranties) and should not be considered as an endorsement of its views by Gate, nor as financial or professional advice. See Disclaimer for details.
Have you implemented this increase? The trading strategies that I use.
Yes, I took part of this increase, and I did not choose just one direction, but rather diversified the risks. These are the strategies I rely on:
I allocate a large portion of the wallet to major currencies like BTC and ETH: because they are relatively safer if there is a major correction.
I keep a smaller percentage in high-growth Alts like SOL and some projects that show strong opportunities, but they are more volatile.
I use a staggered entry strategy (scale in): that is, I enter in stages, for example, buying at strong support levels, and also a portion to buy after confirming a breakout of resistance.
I place stop loss orders (stop loss) on the most risky assets to minimize potential losses if the market suddenly reverses.
I monitor regulatory news ( laws, central bank financial policies... ) because they quickly affect the general mood of the market.
I monitor momentum indicators (RSI, MACD) on different time frames to ensure that momentum is still supporting the rise and not just overbought.
#Gate
#Crypto Market Rebound
#Square Mid Autumn Creator Incentive