After reading Luo Sheng’s experience in the past few years, I have deep feelings. I hope I can replicate his experience. Starting with 20,000 units, I can reach 10 million in three years.
Fund allocation: 1️⃣There are currently 3,000+ contract accounts, and the data was compiled by Qianu in three months. Therefore, we are not planning to recharge or withdraw cash. We will continue to do so with compound interest. 2️⃣Spot account is 18000u, currently there is a slight floating profit
Year-end goals: 1️⃣The 3000u capital in the contract account reaches 30000, which is doubled ten times 2️⃣The 18,000u fund in the spot account reaches more than 50,000, which is doubled
Sorry for my 462 fans, this account will be canceled soon. In the end, Yi Zipi failed to be as strong as Shang Sheng Fan Li. I will retreat for a while. See you again when we are destined.
Suddenly I discovered that even though my contract performance in February was extremely poor, it was still profitable compared to the screenshot on February 9th, and I also made $10,000 on spot. No matter what went wrong in the process, the result was always good.
In the past two days, I have had enteritis, and I have been running to the bathroom more than ten or even twenty times a day. I have almost collapsed. I will update it after I feel better.
I have made a decision that I will no longer participate in short-term contract trading in the next few months or even a year. There are several reasons ①The fluctuations of the bull market are beyond imagination. Although the overall trend is upward, it is extremely easy to hit the stop loss in the short term. ②My contract funds only account for about 2% of the total funds, but they consume more than 80% of my energy ③ If you do less, you will be confused. If you do more, you will make money by switching hotspots quickly. Ordinary people often make money when the current market price increases several times, and the next wave of market prices doubles several times again. When combined, amazing data explodes. Then the focus must be on judging the trend, rather than short-term intraday fluctuations.
Brothers, if you pursue this sector today and that sector tomorrow, and switch between various altcoin hotspots, your income in February will definitely outperform the 40% increase in the spot market, right?
That’s it for this month’s deals! The contract principal is 3600 and the current loss is 200U at 3400. Spot principal is 18500, current profit is 23800, 5300U
I only have 500U left in the contract account, and I am planning to play the live competition of BitY in March. The chz spot is unbeatable, and it will not be launched or will not be shipped before the time node!
I feel like I have no chance to correct my income this month. The initial capital of 3600u is now 3444, which is 150u short of getting back the original capital.
In fact, this month's pie of 43,500 also entered, ordi's short position also came in, yesterday's ckb the day before yesterday also entered, but in general, no money was made and it was a loss...
After reviewing the trading, I found that most of the trading entry logic is correct. It is simply due to the following reasons: failing to hold on to the right transaction, and being affected by the mentality of the failed transaction, which leads to subsequent transaction mistakes.
There are still four days left in February plus today. I hope I have the opportunity to make positive profits!
I originally thought it would take me a month and a half to complete 20 transactions, but I didn’t expect that I opened 10 transactions in 7 days... I overestimated my determination. After reviewing it, if I can hold the position well and not impulsively make the two mkr transactions and the agix transaction, then I will make a profit of 3.5R, which is about 600U, but now I have lost 300! The reason is that I didn’t take what I should take and did what I shouldn’t do. I’m such a waste! The remaining 10 transactions must be done carefully, wait patiently for high-quality opportunities, and hold positions patiently!
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.
Just ask if you don’t understand, STRK is a layer 2 protocol that uses ZK technology, right?
In the morning, while I was taking a shit, I looked at all the products with a contract price of more than 100 million U. I felt that there was no room for operation. It seems that the 10% loss in recent days cannot be recovered. Let's take a rest.
WLD When the big Vs were at a low point, they said that the economic model was not working, and that every day the selling pressure cost tens of thousands, but when it rose, they had all kinds of grand visions, and some even saw a market value of 10 billion. You really dare to say anything. Why didn’t I see you bragging like this in 2U?
I plan to complete 20 sample size transactions in 1 to 2 months. I will not hesitate or be distracted. I will act directly as long as the transaction has an advantage. I will not be afraid of losses or profits, even if I am not a trader who can make long-term profits. but I need to do what long-term profit makers should do: 1. I see my own strengths objectively; 2. I define the risks of each transaction in advance; 3. I fully accept the risk and am willing to give up the transaction; 4. I act according to my own strengths without reservation or hesitation; 5. I constantly review the possibility of making mistakes; 6. I know these principles for long-term success are absolutely necessary and therefore never violate them
recent actions ①The long order of 43,500 was sold at 46,500 (Figure 1) ②The CHZ bought at 0.104 has just paid back (Figure 2) ③Because the contract account has been recharged with several hundred dollars, it is now in a breakeven state (Figure 3)
I’m really convinced. If the pie rises by 20%, I’ll protect my capital. If the pie doesn’t rise, wouldn’t I lose money😡😓😓😓
I hate it! When this round of market started, I picked two targets, one Ai and one NFP. As a result, I bought NFP without any awareness of fund management. Then Ai increased rapidly and NFP increased slowly, so I sold and sold chz. Now it’s better. Yes, chz not only did not rise but fell😭
I was very upset at home these two days, and then I started a cooling-off period for a week. But last night I saw the market, so I transferred the margin from the contract account to the order account, and the principal was 3162.5U.
My order frequency is 20-30 times a month The single risk is 5% of the principal I don’t know how to set these data if I’m following an order. If anyone knows, please leave a message and teach me. If there is currently a big boss following the order, please set the data yourself.
I raised 100U last night and wanted to follow the hot spots and participate. Then I saw jeff at the price of 5 0, 4-6. Because it had already gone through a correction, the big red line was quite scary. I was so scared that I didn’t dare to buy 100u. As a result, it increased by 5 times in ten minutes. I bought it like a leek, and it quickly doubled after I bought it. As a result, I was imagining whether the 100u could turn into several thousand u, and then it became about 300u, then it stopped going up and kept falling. , it fell so much that I was left with a profit of tens of dollars, so I thought forget it, even if I make less, I would still make a profit, and then I walked away. Damn it, I just saw that I was at the lowest point, and the price now is higher than what I sold it for😭😭😭
Current contract account funds 3283U All the spot funds of 18539U were purchased as spot and put into the wallet. Only the funds in the contract account are recorded before withdrawing and selling.
Xiao Ming still couldn’t control himself 18000U bought CHZ with full position At present, it has lost more than 100 u If Xiao Ming holds this transaction for a few months, he will most likely make money. But does Xiao Ming really have such a good position holding ability?