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Home » Featured News » Buy the fear. Sell the euphoria. That’s my core strategy as a Professional Trader and Investor: Lessons from Corrado Garibaldi

Buy the fear. Sell the euphoria. That’s my core strategy as a Professional Trader and Investor: Lessons from Corrado Garibaldi

Birmingham Bulletin by Birmingham Bulletin
June 12, 2025
in Featured News
Reading Time: 6 mins read
Buy the fear. Sell the euphoria. That’s my core strategy as a Professional Trader and Investor: Lessons from Corrado Garibaldi
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My Identity: Trader and Investor — A Dual Force

Let me be clear: I’m not just a trader. I’m not just an investor.
I’m both, and I’ve built my name on that balance.

Official Website: www.lordconrad.com

Buy the fear. Sell the euphoria. That’s my core strategy.

Always do the opposite of everyone — when everyone buys, I sell. When everyone sells, I buy.
Go against the masses, against common opinion. Be aware that 99.9999% of people are wrong about everything, always. The winning strategy is to do the exact opposite.


As a Trader

I specialise in scalp trading, day trading, and swing trading, with a sharp focus on Nasdaq. I live for the action — the heartbeat of the market. It’s fast. It’s aggressive. It’s real. The kind of trading where milliseconds matter. That’s where I thrive.

I read patterns like a second language. Technical analysis is my tool, but instinct is my weapon. I trade with discipline, not emotion. Every entry is calculated, and every exit is executed with purpose.


As an Investor

On the other hand, I build wealth the smart way. I’m deep in crypto, stocks, ETFs, ETCs, funds, S&P 500, bonds, and certificates. I invest for long-term growth — strategic, patient, and always ahead of the curve.

When the world panics, I position. When euphoria floods the market, I cash in.
Buy the fear. Sell the euphoria. That’s my core strategy. And it’s served me well.


I am Corrado Garibaldi, but most people know me as Lord Conrad.
I’m a music lover, but I’ve also spent years getting into the world of investing and trading. I’d like to share my story — the way I trade and what it means to be a trader in 2025.


Where It All Began

I’m Italian, and I did not study finance or economics in school.
I never attended business school or any similar classes.

I started investing some years back simply because I wanted more control over my money. I began by learning everything I could — reading books, browsing tutorials online, and doing small trades to understand how the market worked.

What pushed me forward was the blend of traditional investing and active trading. I’ve practised for years, made my fair share of mistakes, learned along the way, and piece by piece, built a system that works for me. This method has allowed me to be consistently profitable — and I’m proud of the trader I’ve become.


What’s My Approach?

I always make sure people understand there’s a clear difference between trading and investing.
Investing means holding assets like stocks or bonds for years. Trading is about buying and selling frequently to capitalise on rapid market movements.

I’ve structured my portfolio to focus on two things:
I invest 99% of my capital into long-term positions, and use just 1% for short-term trading.
This allows me to grow wealth steadily while still taking calculated shots at quick wins when the opportunity is right.


My Trading Style

If you’re wondering what makes a good trader, I’d say it comes down to a sound method and the right mindset.

I base trades on careful analysis — not guesswork or hype. I rely on stock charts, company reports, and current news. This ensures my decisions are grounded in data, not emotion or noise.

Psychology plays a huge role in trading. Markets swing hard, and it’s easy to fall into fear or greed.
A real trader stays calm. I stick to my plan, even during volatility. That means no panic selling, no revenge trading. That’s how I protect my gains and avoid unnecessary losses.


What’s in My Portfolio?

I mostly invest in large, well-established companies with strong financials.
My holdings include Apple, Microsoft, Tesla, Amazon, Meta (Facebook), Alphabet (Google), and LVMH.

When it comes to bonds, I prefer those that offer solid returns with relatively low risk.
This mix of stocks and bonds helps me balance growth potential with risk control. Stocks offer big upside, but bonds smooth out the ride.


What Have I Earned?

I don’t share exact figures publicly, but I can say this: my strategy has delivered consistent returns over time.
I’ve achieved that by staying diversified, being patient, and constantly learning.

Markets evolve, and I make sure I evolve with them. I stay educated, monitor trends, and adjust when needed. That’s the key to staying ahead.


Skills That Matter

Being a professional trader isn’t just about profits. It’s about discipline, reliability, and constant improvement.

I’ve built a solid reputation for precision and performance — and I’ve also grown a strong presence on social media. I regularly share insights and ideas on Instagram, Facebook, and TikTok.

I enjoy teaching and learning from others. That exchange keeps me sharp and engaged in the ever-changing world of finance.


Keeping It in Your Favour

No one wins every trade. Losses happen. What matters is maintaining a good win/loss ratio — winning more often, or earning more on wins than you lose on setbacks.

I always use stop-loss orders to limit downside and never overexpose myself to a single trade. That’s how I protect profits and stay in control.


Final Thoughts

Want a closer look at my portfolio and trading strategies?
Visit LordConrad.com — it’s where I share my investment philosophy and how I manage my money.

Trading isn’t just about making money. It’s about mastering a skill set and way of thinking that stays with you for life.

Stay curious. Keep learning. And remember — slow, steady progress beats chasing quick results every time.

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