The third paragraph ~ Replay Buying position ~ same as 3-hour MA 6-hour MA moving average position ~ buy 1/2 of the previous position =10000U (Profit of 10000U by walking here) (If the market ends, you will lose money, so stop loss at 10-15%) Opening 20000U and paying 2000-3000U should be okay. (Be patient. If you lose, you lose. Anyway, you made money before.)
The 3-hour to 6-hour moving average of the market continues to move upwards. The same increase of 10% plus 1/4 of the total position
The third paragraph ~ Reasons for selling This wave cannot break through the previous high point~ and it has been consolidating at a high level for a long time A big black K crosses below the 6-hour moving average (decisive exit) *The long moving average is the trend~~ You can see this truth by reviewing the market more often
If you miss a few minutes, your profit may turn into loss.
The fourth paragraph ~ Finding a buying point ~ I didn't seriously review the past. I bought when I had time. Now calm down and run again
*The key is When falling, the 3-hour moving average will run below the 6-hour moving average (Making 3-8% is not our goal) Wait until these two lines are equal or even the 3-hour moving average runs steadily above them. Or a strong upward breakthrough~ can enter the market~
Paragraph 4 ~ Reasons for selling The same short-term breakthrough is too high ~ selling pressure comes out Falling below the lowest price of the previous two K bars~ First out~
Write some review articles ~ self-reflection ~ When I make a profit of 1 million U, all the articles will be deleted~ Only the chat content will be left Hope it helps those who see it
The time for review has come~ I bought in but~ I saw it wasn’t moving and pressed it off~ then the plan wasn’t thorough enough and I missed the entire market~~ (I saw a great saying online~ you can't earn money beyond your understanding! )
Chart 1~ First phase~ Review I bought in for 100U~ Stop loss set at 5~10%~ No need to fear losses~ just endure Every 4% rise~ double the position to 1600U Then add 800U for every 10% rise (Profit should be around 15%~ to prevent being liquidated during a pullback) At this point, the stop loss~ is set at 0% profit~ (To catch waves~ it takes time to grind~ and there must be room for pullback)
First phase selling reasons~ 1. The price has exceeded the 1-hour MA and 3-hour MA (average price) by a lot (Value regression theory.. it will eventually revert to the mean) 2. A long bearish candle appears at the highest price~ with huge trading volume~ no upward momentum left After the closing candle~ it continues to drop~ decisively liquidate.
Chart 1~ Second phase~ Entry 1. Price returns to the 3-hour MA, buy half of the previous holding (1600U) 2. Price at the 6-hour MA, buy half of the previous holding (1600U)~ it can’t go down~ thus chase the price to buy (Current profit is 1098U)~~ so there is capital to pull back now From now on for every 10% rise~ just add a total of 1/4 position Details are for you to ponder
Second phase selling reasons~ Same as the first phase reasons
Long moving average is the best support~ as long as it continues to break~ it indicates weakness~ time to exit
I just invited several friends yesterday, and my family started accumulating alpha points. As a result, there were various issues with the point accumulation yesterday, leading to a crisis of trust for me.
When buying alpha tokens on the BSC chain, normally a 1000U buy and sell would incur about 0.2U in wear and tear, but sometimes the path goes crazy and suddenly the 1inch path is gone, leaving only the single-option PCS HUB path.
This results in each transaction using the PCS HUB path incurring a direct wear of 4U. The wear from different paths has exceeded 20 times; just a few days ago, the PCS HUB path was still normal. How do I explain this to newcomers and help them avoid this issue?
$NXPC slept well and made money.... Long positions have given up again... The dealer won't pull the spot... Lack of liquidity, and the capital needed to start is large. Those who take long positions based on faith, take care.🙏
I bought it, and then I didn't have anyone to trade with for a whole hour. Now it's down and I have to lose 1%... What's going on, are you treating me like a Japanese person? #anon
Sonic chain really makes me laugh and sleep. There is a reason for the low transaction volume. I just tried to invest 720 dollars, and I only came out with 702 dollars left. Really impressive. You want an airdrop, but he wants your principal $S
There won't be any popularity, it's a scam chain. #Sonic #币安alpha交易赛
After a month of accumulating points, not a single airdrop received. It's better to come empty-handed than to get nxpc. by Newcomer 600 people, ten thousand people, this will inevitably drop to y1u.
#我的EOS交易 This ticket's daily line shows an upward trend. It looks like the price is about to find support.
However, the 1-hour cycle in the chart below is still showing a downward trend. It hasn't broken the downward channel.
My approach is that if there is a rebound to a high point, I will try to short. (Downward trend, shorting, time can help us make money)
Bitcoin's morning spike in short positions has already returned to the mean, and the following situation is also unstable. All holders of altcoins should exercise caution. Those who understand, understand.
The popular tickets from the past few days… After the stop loss, it actually dropped this much… At least 7-8 of them have dropped this much.
Shorting seems possible, too. Never think about the support level of virtual currency. There is no support level for virtual currency; it can be halved 3-4 times and still have people playing. The more you average down, the worse it will end up. $FUN
Because his inflation rate is also shockingly high... a monthly interest of 3 points, let's see after a month, whether this principal amount still exists.
夏木KRIS
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What's going on with Adventure Island N? $NXPC Binance finance annualized actually skyrocketed to 43%?😳 Binance listed it not long ago, and this yield directly rubs other projects into the ground…
A chain game coin, how can it be so strong? Adventure Island IP support, hot trading, continuous capital inflow… Now even the current finance is surging to high annualized rates, is someone really hoarding, or is the platform creating momentum?
Regardless, this kind of "high interest dividend period", missing it means it won't be 43% anymore⚠️
What do you think? Could it be the next explosion point?🔥
If the bosses are making about the same, it's time to leave this circle. To be honest, I'm also quite confused. In the past, a bunch of coins in the secondary market could easily rise dozens or hundreds of times. Before Trump, there were also a lot of blockchain projects worth several hundred million to over a billion. It's not fun anymore; choosing a basket of altcoins is a bit disappointing to play like this.
$SHADOW The trading volume above, should be the total market volume. I waited a long time for my buy and sell orders to be executed... Wear and tear cost 3/1000 To make the trading volume The risk is indeed quite high...
Many friends find themselves in such a dilemma: heavy positions are afraid of liquidation, and light positions complain about low profits.
Today, I want to share a "Floating Profit Rolling Position Technique" that professional traders use.
With this method, I rolled a $20,000 account into a 37 times return last year.
The core principle is summed up in eight characters: small position for trial and error, increase positions with floating profits. But 90% of people don't understand the correct operation:
The initial position should never exceed 5%, use a 0.5% stop loss for trial orders.
After the market starts, move the stop loss to the cost line.
When breaking through key levels, the position size for adding is = initial position × 1.5 times.
Newly added positions should have separate stop losses, forming a position ladder.
The most ingenious part comes: when you have 3 layers of floating profit positions,
the 4th time you add to your position is actually using the market's money to speculate. At this time, an astonishing compounding effect will appear.
Key details: The spacing for adding positions must be greater than the initial position's stop loss range. With each additional position, the overall stop loss is moved up one level. The stop loss for the last layer of positions is the exit point for the entire strategy.
Remember: true heavy positions are built as the market moves, not gambled at the start.
When you can use floating profits to protect your principal, the market will become your ATM.
Last night I only opened a short position of #MOODENUSDT ~ Obviously a wrong decision
With 100U principal~ a loss of 36U 1. Because of increasing the position, 100U was increased to 400U Resulting in a cost price that is too low~ a pullback leads to losses 2. Originally, it was the leading coin that was skyrocketing~ the big player does not necessarily have to give up this coin The drop is limited
Reviewing the short strategy Next time, when the big market is at a high position~ if I want to short~ casually select 10 coins with a 100% increase last week, with trading volume not too high or low As long as the position is high~ I can short 100U It seems that the expected value is relatively high