Methodology
How Lavi makes trading decisions
Understand how opportunities are researched, how trades are handled, and how to read the results
How opportunities are selected
Lavi studies historical market behavior and tests clear entry and exit rules before using them with real capital
Only rules that can be applied consistently and traded in real market conditions move into the live strategy
How trades are handled
The strategy applies the same decision process to each opportunity instead of relying on an emotional or last-minute choice
Actual entry and exit prices can still be affected by market conditions and Binance execution
How to read the results
The performance shown on Lavi reflects the portfolio’s actual results on Binance, not hypothetical results
Use return to see the overall change and maximum drawdown to understand the largest decline along the way
Why your result can differ
Your result can differ because of when you start, the amount you copy, fees, funding, price movement, and your Binance settings
A systematic process can still lose money
Trading and Copy Trading involve substantial risk and can result in loss
