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I go where the price action takes me, but my strategy is based on 20 and 40 day price breakouts, so most holding periods are multi-day to multi-week (as can be seen from the closed positions chart, which shows days held).

Theoretically markets are fractal, but the behavior on shorter time periods seems much less predictable to me and I've never got the feel for it - even though I've tried many times across different markets because it's a lot easier to get prop money for intraday futures/forex than it is for multi-week equities trades.

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