Recently, the contract operations have been relatively smooth, and I have gained some insights that I want to share with those who are destined to see this. There are only two types of strategies for contracts: one is to hold for the medium to long term with larger cycles, which either leads to liquidation or huge profits. The difficulty lies in that many people cannot find the right entry point, or they cannot hold on when there is a pullback, missing out on significant profits. The other strategy is to play ultra-short. This month, I have only played ultra-short and only with ETH; anything more is really too much to keep track of, and it's easy to miscalculate margin, leading to liquidation. Low leverage in contracts is the key; focus on strong, certain trends. Although low leverage seems to yield much less profit, when compounded, it can still be very powerful. Stability and safety with minimal drawdown are the prerequisites for profitability. PS: $ACT $LUNA has recently moved, so it might be a good time to set some ambush orders.
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