The difference between a gambler and a systematic trader is a defined exit plan. 💡
In high-volatility environments:
Volatility without risk parameters = Liquidation risk.
Volatility with strict capital allocation = Controlled execution.
Don’t trade the noise. Build modular rules, automate your discipline, and manage risk per trade before looking at potential upside.
Capital preservation is the only true alpha. đŸ›Ąïž
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