Today's funds: 6444 U, 2024.5.8
Yesterday, I was given two chances, and the contract with single orders rose to recover the original cost and made a little profit, but I was too greedy and didn't run away in the end. I wanted to get more than 20,000 U. Now I don't have the mood to write a diary about my losses.
Overall, I am still relatively confident, but I am also afraid that my position is still heavy. If it falls again, I will be miserable. However, it has been falling for three days, and it should rise. However, my losses and gains only need a small fluctuation. This is not okay. I want my contract with single orders to withstand the storm.
But now I dare not add the margin. I bet a lot and can't afford to lose. I sighed. How can this be possible?