The process from a stop loss profit of $1200 to reopening $hippo is complex. Without expectations and position management, merely following xx is not useful.
How to obtain settings for position management, load interventions, and achieve results is a systematic process.
The points shared in the previous post about being bullish on hippo are based on the fundamentals of Chan's theory, providing steady points for everyone, including the community. In reality, my operations will have dynamic adjustments.
Are you willing to look at bullish and bearish?
Or would you prefer to hear about systematic trading?