Торговая система CRYPTOTRUST.ONE

Trading System CRYPTOTRUST.ONE ?!
This is a flexible, situational approach that can be characterized as a «Dynamic Asset Management Strategy.» Its working style changes depending on the market phase and specific situation.
Here are the key elements of its «system» that can be highlighted:
1. Analysis and Decision-Making
-
Macro-Fundamental Analysis: The trader constantly monitors Fed decisions, economic data releases (CPI, unemployment), actions of major funds (BlackRock, 3AC), and geopolitics. This forms the basis for determining the long-term trend.
-
Technical Analysis: Used to find entry points (support/resistance, Fibonacci levels, patterns, moving averages, RSI). He does not blindly follow patterns but uses them as probabilistic assessment tools.
-
Analysis of Major Players’ Behavior («Whales»): A key element of his system. He often contemplates how the «Big Player» manipulates the market to collect liquidity or trigger stop-losses. This helps him anticipate false breakouts and make counterintuitive decisions.
2. Trading Approaches
-
Trend Following with Counter-Trend Elements: In a global bear market, he mainly follows the #shortmustgoon strategy (shorts), but often opens short-term longs on strong bounces.
-
Range Trading: During sideways movement (e.g., February–March 2023), he actively trades within a clearly defined price corridor (Bart Simpson levels).
-
News Trading: Frequently uses volatility around major events (Fed, CPI), taking positions before or immediately after data releases.
-
Speculation on «Divergent» Altcoins: Willingly trades tokens that show movement diverging from BTC (#divergencestrategy), often using them to amplify profits.
-
Averaging: Sometimes uses position averaging but admits this is a mistake and a violation of risk management.
3. Risk Management and Psychology
-
Risk Management is a Priority: He constantly reminds of the need to set stop-losses and take-profits, especially on altcoins. The word «risk management» itself is mentioned very frequently.
-
Risk/Reward Ratio: In his teachings and comments, he explains the importance of a 1:3 ratio (risk 1 to earn 3).
-
Psychological Control: Huge attention is paid to trading psychology: fighting greed (#FOMO), fear, and tilt. He learns from mistakes and honestly acknowledges them (#loss), drawing conclusions.
-
Transparency: Openly publishes both profitable and losing trades, demonstrating transparency and self-discipline.
4. Tools and Trading Style
-
Spot and Futures: Uses both instruments (#long on spot for investments, #short on futures for speculation). He warns about the high risks of margin trading.
-
Short-Term Trading: The vast majority of trades are intraday or positions held from a few minutes to a couple of days. Long-term investments are set aside in a separate #Portfolio2030 or #10X marathon.
Summary
CRYPTOTRUST.ONE is an experienced situational trader. His «system» is not a rigid algorithm but an adaptive set of principles:
-
«Big Picture» Analysis: Macroeconomics and whale behavior.
-
Flexibility: Changing tactics (from short to long) depending on the market phase.
-
Strict Risk Management: Stop-losses, take-profits, and position sizing.
-
Mindfulness: Working on psychology and continuous self-improvement through learning from mistakes.
This approach is more akin to capital management with trading elements, where the main goal is not to catch every move but to survive the bear market with minimal losses and prepare the foundation for growth in the bull cycle.
