After thinking about it, it is safer to use small funds for the fourth round of breaking 10,000u plan. Binance only kept 1,000u and crossed out all the others. Wait for the definite bottom-fishing opportunity next week. The market often over-prices the sudden incident of Iran's retaliation against Israel. I feel that it may be almost done. Specifically, wait for the fluctuation on Monday. If the big cake has a stabilizing structure near 60,000, you can make a tentative move. The account is not planned to be used frequently. Only for definite opportunities. Binance's strategy will still use the short-term method to first increase the funds to more than 3,000u, and then start to make a profit. With this method, the accumulated profit is about 4wu from the beginning of February to now.

Sharing of small capital gameplay strategies: My usual leverage is about 20 times, the total position is 200-300u, the stop loss is generally 3 points, and the stop loss for the breakthrough market may be 1 point, but the breakthrough position will be given a larger one.

Short-term generally does a three-stage rise at the 5-minute level. It mainly depends on the trend of each level to find the resonance logic. Determine the direction before doing it, otherwise it is easy to get stuck and not stop loss.

Structure I like to do intervals and interval breakthroughs The entry is usually at the bottom of the range or the expected breakthrough position to build a base position. When the real breakthrough begins, add positions. Then do the callback of strong currencies. Technical things are not difficult. Just study hard for a year or two and review a lot of high-quality varieties. What is difficult is the practical mentality and the control of self-humanity and the coping strategy during the market. Personal opinion, for reference only.

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