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

1. Over-leveraged trading. (30%~50% position)

2. Stubbornness, never admitting mistakes (always thinking it will turn around)

3. Not setting stop-losses, always used to manually closing positions, leading to situations where, when facing extreme market conditions, there is simply no time to act in any investment market.

Some people think that operating with a 10% position is too small. The profits are too little. But I advise everyone to never expect to get rich overnight; instead, take steady steps and aim for daily returns of over 10% on your total account. After a month, it can be very impressive.

Over-leveraged trading is the main reason for liquidation; using a large proportion of leverage with a heavy hand results in very low risk tolerance. Always wanting quick success and overnight wealth will only lead to worsening outcomes.

Trading with light positions and small amounts, following the market trend; steady and consistent, accumulating small gains into larger ones. When your account funds double or more, withdraw your principal. At that time, your mindset will be clear, and the speed of making profits will be very fast.

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