The points of mismanagement are as follows:
+ If you go long, you get stuck at the price, and if Binance opens the delist vote function, we end up hurting ourselves; otherwise, they will hurt us anyway—-> lose everything.
+ If you go short, it spikes up like a stick multiple times—-> burned, then they raise funding fees, eroding the account—-> burned.
+ Then lowering leverage increases margin, and when it comes time to DCA, there's no fund left, a sudden drop—-> burned.
—-////——
Hoping to get back to shore; profits are like a citrus season.
If you don't cut losses in spot, it's still a 5 to 7 split, unlike futures.
I'm struggling with both spot and futures but haven't dared to DCA yet; cutting losses is painful.