Market volatility has picked up lately, and I’m curious how others are approaching day trading in this environment. Frequent macro releases, especially inflation and rate-related dat, are driving sharp intraday moves, which can create opportunities if managed well. I’ve been paying close attention to RSI for short-term extremes, MACD crossovers for momentum confirmation, and VWAP as a key intraday reference for buyer versus seller control. That said, volatility cuts both ways, so strict risk management, stop-loss discipline, and position sizing remain critical. Interested to hear how others are navigating these conditions.