100,000 principal: Steady growth vs. high-risk, high-reward; your choice determines the outcome!
Spot Traders (Conservative)
Strategy: Hold BTC/ETH long-term, buy on dips, take profits on highs
Track Record: 50,000 → 2,000,000 (3 years)
Advantages: Low risk, almost never goes to zero
Disadvantages: Requires patience, turning 10,000 into 20,000 may take an entire bull market
Contract Traders (Aggressive)
Strategy: 10x leverage short-term strikes, quick in and out
Track Record: 3,000 → 200,000 (1 week) → liquidation to zero (3 days)
Advantages: Doubling small funds in the short term is not a dream
Harsh Reality: 90% of people get harvested by the market within 3 months
Truth: Two types of play, two outcomes
Spot = exchanging time for wealth,
suitable for long-term investors
Contracts = using skills + luck to seek high profits,
suitable for high-risk players
The most ruthless play:
Spot hoarding + contract swing (but requires extremely strong discipline)
Ultimate Choice Question
If given 100,000, how would you choose?
Spot: May turn into 500,000 in 3 years, steady and secure
Contracts: May soar to 1,000,000 in 3 months… or drop to zero
There are no fairy tales in the crypto world, only the winners who survive— which one do you prefer?
I am Qingdi, skilled in short-to-medium-term contract trading, sharing investment tips daily, detailed strategy teaching contact @青帝ㅤ Come!