What a waste! ! !
I reviewed the contract list I made some time ago. As long as I don’t act recklessly and move the stop profit and stop loss, the contract has now made a profit of 30 to 40%. When I see floating losses, I want to take profits. When I see profits and take floating losses, I will continue to take profits. , although the stop loss was set, all transactions were done manually, and none of the transactions hit the stop loss. Alas, the execution was so poor!
The contract account lost about 400U some time ago, and now it is still 100U short of recouping the original capital. Currently, it holds a long position in zeta and a short position in strk.
I bought chz with a principal of about 18,500 in the spot account. The current balance is about 22,500 and the floating profit is 4,000.