#掌握市场 Focus on the fundamentals project white paper, team background, and ecological progress, distinguishing between speculative and value cryptocurrencies. Strictly adhere to risk control—single asset position ≤15%, set 3%-5% trailing stop loss, and use hedging strategies when employing leverage. Pay attention to macroeconomic factors (Federal Reserve policies, geopolitical situations) and regulatory dynamics (SEC lawsuit cases) to avoid black swan events. Train trading discipline through simulated trading (MetaTrader 5), review monthly profit and loss ratios, and optimize capital management models. Deepen the understanding of blockchain technology (smart contract vulnerabilities, Layer 2 scaling solutions), and participate in DAO governance to obtain insider information. Remember: 70% of returns come from position management, 20% from trend prediction, and 10% from luck; remain humble and continuously iterate your cognitive system.