I. Gold position strategy

Capital allocation: Split 300,000 into 300 parts, each part 1,000, single loss ≤ 1%

Leverage control: 5x perpetual contract, use Binance isolated margin to prevent liquidation

Profit handling: Withdraw 5% to cold wallet for every 10% profit

II. Iron rules for asset selection

Must do: BTC pullback, ETH upgrade, SOL (FTX restart), MATIC

Do not touch: low market cap coins, altcoins that underperform BTC, skyrocketing MEME coins

III. 15 rounds of capital recovery route

1-5 rounds: Testing period, open $1000 long position when BTC breaks 85,000, 5% take profit

6-10 rounds: Increasing position period, add position 50% every $5000 when BTC breaks 100,000 and stabilizes above MA60 for 4 hours

11-15 rounds: Harvesting period, close 60% of positions at 1.5 million, withdraw all at BTC 120,000, ETH 4000

In extreme market conditions, stop loss orders will become liquidation allocation funds!

Enter the market only if the 4-hour K-line stabilizes above MA120

Immediately stop loss if floating loss exceeds 5%

A single day profit of 30% mandates a 48-hour break$BTC $ETH $BNB #加密市场反弹 #币安Alpha上新 #Strategy增持比特币