Brothers, I'm back again. After many days of thinking, I summarized and reviewed the reasons why I lost all my money every time before. One is that I know but do not practice what I want to do. There is a problem with position management. I like to put all the funds into the contract, and then open a position directly with a percentage. That is, if I have 1000u, I will open a contract with 25%, which is 250u. If I earn 2000u, I still open a contract with 25%, which is 500%. I earn 1000u, but my risk resistance is still the same as 1000u, which makes me easily overturned and has no tolerance for fault. Every time I fight, I look down on small funds. I think that a little loss is no big deal, but I am afraid that the profit will be gone if I earn a little. This leads to me being eliminated with big losses every time. Another thing is that I don't like to withdraw cash. I should really listen to many people's advice to withdraw more profits. I always think that more funds are easier to operate, but I always operate recklessly. It doesn't make any sense to open a position with more funds or less funds. Withdrawing cash is like a layer of insurance so that you won't be penniless in the end. In the past few days, I have deeply realized the role of money. I should treat money as money. I now cherish every U. I am now cautious and treading on thin ice with every step I take. I now strictly implement position management. Before, I felt uncomfortable every time I didn't have a position. I always had to open an order. I felt that it was a waste to leave the money there without an order. As a result, sometimes I couldn't open a position at all because I was anxious and always opened a position at an inappropriate point, which led to a long period of traps halfway up the mountain. Now I think short positions are also a skill. I will strictly implement it in the next few days to see how the effect is. I hope everyone will have a good harvest.
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