This month is black. After the tariff news began to ferment, I judged that the impact would last a long time and started to short. First, the false news for 90 days got me once, and then the true news for 90 days got me again. The pause for 90 days coincided with the interest rate cut, so I started to go long, rolling over my positions well, but then OM crashed and hit me again.

My mind was completely in chaos, eager to recover losses, and my position was too heavy, I couldn't withstand the losses at all. Looking back at all the previous positions, if I had just opened a little smaller, I wouldn't have lost a single one, and that's how the money was washed away.

In the end, with 2500u, I started to turn things around!