My current radar:
$SPCX → liquidity watch
$BTW → momentum watch
$ZEC → major trend watch
$GLMR → volatility watch
The biggest mistake would be treating all four the same.
Different liquidity = different position sizing.
That's how I approach volatile markets.
$SPCX → liquidity watch
$BTW → momentum watch
$ZEC → major trend watch
$GLMR → volatility watch
The biggest mistake would be treating all four the same.
Different liquidity = different position sizing.
That's how I approach volatile markets.