#复利效应
Opportunities that change life and fate. Education, marriage, self-awareness.
day13 Principal 25, Balance 89 Average daily compound profit 10%.
I won't be watching the market tonight. I’ll take a good sleep first.
Let me be a bit pessimistic and place a long order at 80010. Opening an order is just being willful.
Everyone has their own trading strategy; my main focus is on stability. I only place orders when I am confident. The short mentioned earlier at 92500 has a maximum profit of 8000 points; the rebound long order at 88000 mentioned last night has a profit of over 3000 points. Personally, I think the entry point is still quite extreme.
I only do intraday swings, so I won't hold a position for too long. Being too greedy during market fluctuations will only lead to losses. There’s a saying, “Take profit when it’s good,” but there’s nothing I can do, I’ve blown too many positions.
After opening a position, if the situation is good, I will continue to hold. If the situation is bad, I will constantly make adjustments to minimize risk. Closing positions according to 25%, 25%, and then all out, waiting for the next opportunity.
Scalping strategy.
1. If the situation is not too good. If there’s a bit of profit, I will close 50%, then adjust to pull the average price.
2. If it’s particularly bad, I will unhesitatingly close 75% at the opportunity. Or directly liquidate. Subsequently, I will pull the average price or wait to re-enter.
Maximum 5% per trade, in a volatile market, I will take a position before the direction becomes clear to prevent missing out.
I want to learn from each other and grow together!!!