The essence of contract trading is risk management, not leverage size.
Leverage ≠ Risk. Stop-loss and capital allocation matter most!
✔ Open positions in batches, 10-20% of capital each time
✔ Max total position: 2x (short) ~ 4x (long) capital
✔ Max risk per period: within 20% of capital, avg. risk around 10%
Real trading isn’t about blindly trusting TA, charts, or whales—it’s about understanding, managing, and leveraging risk to profit!
BTW, bullish on Sui ecosystem, especially #Cetus worth watching!