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Profil
Bio
I am a disciplined market strategist with over five years of experience navigating the volatility of the global markets.
My journey began with a deep dive into technical analysis, which has since evolved into a sophisticated, multi-layered approach combining order flow dynamics and macroeconomic sentiment.
I don’t just trade tickers; I trade human psychology and institutional intent.
Over the years, I have successfully managed personal and private capital by prioritizing capital preservation and repeatable execution over high-risk gambles.
My track record is built on the belief that a professional trader’s greatest edge isn't a secret indicator—it's unwavering emotional neutrality and rigorous risk management.
My journey began with a deep dive into technical analysis, which has since evolved into a sophisticated, multi-layered approach combining order flow dynamics and macroeconomic sentiment.
I don’t just trade tickers; I trade human psychology and institutional intent.
Over the years, I have successfully managed personal and private capital by prioritizing capital preservation and repeatable execution over high-risk gambles.
My track record is built on the belief that a professional trader’s greatest edge isn't a secret indicator—it's unwavering emotional neutrality and rigorous risk management.
Trading tarzı
I specialize in a Trend-Following. My edge lies in identifying high-probability "Value Zones" where technical structures align with fundamental catalysts.
** I utilize a top-down approach, starting with weekly market structures to define the bias, then executing on lower timeframes using Supply and Demand zones and Volume Profile.
** Every trade is mathematically modeled before entry. I strictly adhere to a fixed fractional risk model (typically 1-2% per trade) with a minimum 1:3 Reward-to-Risk ratio.
** I primarily focus on High-Liquidity Forex pairs Commodity, and Indices, ensuring deep market depth and minimal slippage for consistent scaling.
** I utilize a top-down approach, starting with weekly market structures to define the bias, then executing on lower timeframes using Supply and Demand zones and Volume Profile.
** Every trade is mathematically modeled before entry. I strictly adhere to a fixed fractional risk model (typically 1-2% per trade) with a minimum 1:3 Reward-to-Risk ratio.
** I primarily focus on High-Liquidity Forex pairs Commodity, and Indices, ensuring deep market depth and minimal slippage for consistent scaling.
Slogan
Master the process, and the profits will follow; manage the risk, and the market will keep you.
