Trading isn't about being right—it's about surviving.

You can go 6/10 wrong and still print money.
You can go 8/10 right and still get rekt if you mismanage those 2 Ls.

The metric that matters? Risk management.

Position sizing > win rate.
Cutting losses fast > being a prophet.

Most degens blow up not because they can't read charts—they blow up because they don't respect their stop losses and let 1-2 bad trades nuke their entire portfolio.

Probability + capital preservation = longevity in this game.