About position management, a brief understanding of short, medium, and long-term strategies! You must check it out!
Sao Ge focuses on medium to long-term excess profits! This medium to long-term, defined as follows:
1. Medium-term
1. When profits reach 15%, you should start to reduce your position. This rule is independent of the time cycle; sell while it rises until the principal + at least half of the profit is offloaded, and the remaining position is entirely profit, which allows for holding long-term.
2. For medium-term, Sao Ge generally expects a timeframe of 15-30 days; if the trend is good, it can extend to 60 days, but there must be a reduction condition: if condition 1 is met, reduce, reduce, reduce; do not frequently ride the roller coaster.
2. Long-term
1. This is calculated in years; Sao Ge will regularly invest in a combination monthly, automatically buying into the preferred investment portfolio. This can ignore any price fluctuations, aiming for 25 years!
2. Long-term, I will not manually operate; any manual and constant operation will inevitably fail to achieve long-term results.
3. Short-term
1. This is daily small investments; the reference points in daily analysis belong to profits of a few hundred dollars that can be freely taken, not medium-term or long-term operations.
2. Short-term can profit from three to five points quickly, taking minutes at best, or an entire short cycle within a day, but definitely not held overnight!
Position management:
1. Generally, allocate 70% to long-term investments to achieve significant long-term gains of 5-10 times annually!
2. The remaining 30% will roll over in the 70% medium-term, with 30% for short-term!
3. Taking $10,000 as an example, $7,000 is allocated to long-term investments, automatically invested monthly; of the remaining $3,000, at least $2,100 will be rolled over medium-term; $900 for intra-day short-term!
4. With $2,100 in medium-term positions, when we talk about medium-term layout, this is the allocation of that $2,100. For example, if 30% is allocated to ETHFI, that means taking out $630 to play with, which can be divided into three parts for low-buy layouts! The remaining $1,470 will serve as flexible funds for buying on dips and increasing positions during market crashes!
5. The $900 for intra-day short-term is meant to be a position that you won’t mind losing. It can cover a day’s expenses from small investments, allowing for a bit of indulgence, but long-term, medium-term, and short-term positions must not be mixed together!
The above is Sao Ge's operational thoughts on short, medium, and long-term layouts and position allocation!
Must be strictly enforced, profits should be taken, losses should be accepted, control positions well, without fear of market fluctuations, ready to attack or defend! Only then can one survive longer, accumulate small gains, and truly achieve steady and gradual profit!
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