It has been two weeks since 1011, and during these two weeks, my position has changed significantly. Let me report to everyone!

Started with $200,000, now $260,000, a return of 30%

Breakdown: Contract profit of $50,000, net profit of $10,000 from the 'mad dog' (so embarrassing)

The overall contract strategy is currently positive, recognizing trends and using timely take-profit and stop-loss strategies, I am quite satisfied with the win rate at the moment.

I'm still a novice in the 'mad dog' area, will continue to work hard. Today U402 increased 30 times, very comfortable, but unfortunately bought too little...