Since March this year, I have gradually increased my position, totaling 200,000 RMB. It has dropped to about 80,000 at its lowest. I occasionally trade contracts, but mostly spot! I hardly did any short waves since entering in March. After half a year of enduring, the returns are not satisfactory. Until yesterday, when it reached 40,000 oil, I chose to withdraw 20,000 oil. This should be my first withdrawal since March!
To sum it up, it has really been quite difficult, especially on the 8.5 day. Also, after Trump took office, the operations were very poor; the rhythm was always hard to grasp. Either chasing the rise or trying to catch up, and ended up falling short before dawn. Overall, I am not satisfied with the result, but after all, as a retail investor, I should be content to get a little soup!
Next, I will keep about 20,000 oil in my position. Let's see if I can get another 50,000 oil; I would be very satisfied.