In the contract market, those who face liquidation or suffer significant losses generally share the following common characteristics. If you do not overcome these issues, you will continue to lose forever.

1. Heavy trading (30%~50% position) 2. Stubbornness, never admitting mistakes (always thinking there will be a pullback) 3. Not setting stop losses, always relying on manual closing, which leads to being unable to act quickly in extreme market conditions.

In any investment market, some people feel that operating with a 10% position is too small and earns too little. However, I advise everyone to never expect to get rich overnight. Steady and methodical gains of over 10% of the total account daily can lead to very considerable returns over a month.

Heavy trading is the main cause of liquidation. Using large leverage with heavy positions results in very low risk tolerance. Always seeking quick profits and getting rich overnight will only worsen the situation.

Light positions and small amounts, follow the trend; slow and steady, little by little. Once your account funds double, withdraw your principal. At that point, your mindset will be clear, and the speed of profit will be very fast.