$BTC My strategy has shifted from aggressive to conservative: I used to heavily invest in chasing short-term fluctuations, relying on high leverage for returns, which sometimes led to huge profits but with uncontrolled risks. Now I have adjusted to: reducing single stock positions to within 10%, eliminating leverage, prioritizing undervalued, high-dividend targets; setting strict stop losses (5%) and take profits (15%-20%), diversifying across industries; reducing trading frequency from an average of 2 transactions per day to 1 transaction per week, placing greater emphasis on fundamental research. Although short-term returns have slowed, the drawdown has decreased, making long-term compounding more controllable.