Trader Morin turned more than 18 months at breakeven into a repeatable trading process built around ranges, mean reversion, order flow and strict risk management. He explains how he plans trades days in advance, builds price-action and footprint execution playbooks, sizes positions using confluence, and distinguishes reaccumulation from redistribution. We also discuss surviving the unprofitable years, handling FOMO, reviewing trading data, using leverage responsibly and why Morin deliberately reduces risk after a major winner.
00:00 First blow-up and playing the long game
08:05 Why Morin focused on BTC and ETH
18:07 Building conviction, trade plans and playbooks
25:27 Surviving 18 months at breakeven
35:00 Turning discretionary trading into a system
41:00 Range trading and footprint execution
48:39 Reaccumulation vs redistribution
58:16 Leverage, risk and reviewing the data
01:08:56 Teaching, monetization and staying grounded
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