My vouch:
Talking about the strategy, the risk:reward ratio is completely unbalanced.
No SL/TP or any risk minimization strategy at all.
There is only one trade at a time with usually high stakes involved if the market is volatile.
Had 4 trades (2w/2l) overall before I decided to quit.
3 had the lowest trading option #1.
the last position (loss) was the trade volume option #2.
won: 220 USD
lost: 830 USD
The OP is very supportive and in general a very kind person, but the strategy isn't about him.
Therefore, no offense to the OP directly, because the decision was solely on my side.
Don't let the stats blind your your rationale.
Split the risk.
I'm glad that I didn't put more money into that and I will move on to more balanced ways with crypto trading.