Most people don’t lose in crypto because they picked a “bad coin.”
They lose because they ignore risk management.
I’ve seen this cycle repeat every market:
• Over-leverage during hype
• No clear stop loss
• Emotional entries after green candles
• Panic selling during normal pullbacks
What actually works long term is boring and that’s the point.
I focus on:
Position sizing first (risk before reward)
Clear invalidation (know where you’re wrong, not just where you’re right)
Patience during consolidation (markets spend more time ranging than trending)
Capital preservation during uncertainty
The best traders aren’t always the most aggressive they’re the ones who stay liquid long enough to catch real opportunities.
Crypto rewards discipline more than prediction.
If you’re still here after multiple cycles, you’re already ahead of most.
Trade smart. Protect capital.
