$BTC $ETH $BNB #methodalgo

  • Asset allocation: The ratio of spot and contract is best controlled at 9:1, 8:2, or 7:3. These ratios depend on the individual.

  • Trading plan: plan your trades, enter the market at the right position, set reasonable stop-profit and stop-loss settings, and the reward ratio should be 2:1 or 3:1.

  • Risk management: 2% risk means that the amount of loss this time is 2% of the contract account.

  • Mentality management: Don’t be too emotional in each transaction. Don’t make revenge trades if you lose money. If you lose three times in a row, take a day or two off before opening a position again.