$BTC
93 is quite stable, but it may be difficult to hold. I heard that there is a large volume, so it may go to 91.
bnb can still go up, but there is no way to do it because of the general trend. I was wondering if everyone was cutting spot to cover their positions after the big drop, so neat?
Cutting back and forth, the production speed of leeks is enviable. A lot of short positions exploded just the day before yesterday, but the number of short positions has reached an astonishing number. Will there be a counter-attack? Let's see who laughs last.
Control the position and it is more likely to protect the principal. Don't think about bottom-fishing and top-fishing, and eat a fat man in one bite. A good trader is a layered layout and a ladder profit.
Simply share my humble opinion and simple algorithm. Spot layout
Take bnb600-700 as an example. Assume that the capital is 60,000.
700 goes down to 690, buy one layer, 10 bnb6.8k.
Cost 690
To 670, buy another layer, 10 bnb6.7k
Cost 680
To 640, buy two layers, 20 bnb12.8k
Cost 660
And so on, start with the algorithm for a short time, and for a long time, you can extend the interval.
If it goes to 650 but not to 640 and returns to 690, you can consider closing half of the 670 purchase, that is, 5 bnb, and then close 2.5 bnb when it goes up to 710.
At this time, if it goes down again, there are still 12.5 bnb left, cost 680.
If the trend goes down to 660, you can consider buying 12.5, a total of 25 cost 670.
And so on. The funds will be more open.
If you choose to go all-in at a certain point and then go all-out at a certain point, the psychological pressure during the period will only be felt by yourself. Of course, you can do this if you don't want to operate, but when it reaches 500, you will have no room for operation. The segmented profit and layout are continuous. In fact, you can compare it with the robot, but it is more flexible to operate by yourself.
The above is purely my personal opinion, please don't criticize if you don't like it. In addition, if you find it useful, you can refer to this model layout to plan your own strategy. The example is only for simple explanation. Please study the specific data yourself, try to start at the support level and release the pressure level.
The contracts are similar, low-multiple control, and sufficient funds are used to play spot as much as possible