#我的策略演变
Mysterious and unpredictable, if investors control their positions well and only invest in large-cap varieties, it should be much easier, at least without the risk of delisting.
The current market is indeed thrilling, easily experiencing large ups and downs, back and forth. Investors should reasonably control their positions, selling high and buying low, so as to respond to changes without changing their strategy. Holding too large a position can lead to massive losses; high-quality varieties should be gradually accumulated by buying more as prices drop, and selling at a high point is the correct solution.
Recently, there have been frequent significant news events, and the possibility of the market oscillating at the bottom is increasing. If positions are controlled well and costs are reduced through continuous high selling and low buying, one's risk will be continuously lowered.