How to manage positions scientifically and increase positions to the ideal state?

The core idea is two dimensions: space + time. If space is insufficient, use time to make up for it. First, set two points, one is the initial point and the other is the limit point. The initial point is the point where the position is first established, and the limit point is the point where the position is blown up.

In the "dead silence" stage, some people made plans for a large drop, but in reality, the drop is likely not to be too large, so it is necessary to increase positions in the time dimension to make up for the lack of space dimension positions in order to reach the target position level.

So, what I have to do is to use scientific position management methods in the "dead silence" stage to gradually fill up the position until it is full and can no longer be added. In my experience, as long as the two dimensions of space + time are used in the "dead silence" stage to orderly build positions in different grades, the comprehensive holding cost will not be higher than 10% of the market's lowest price.

After reasonable arrangements, the policies and strategies are strictly implemented, rather than waiting after the all-in. It is not difficult to make enough money in this circle. Only by getting enough and cheap chips at the end of the bear market can you have a big harvest in the upcoming bull market. Many people understand this truth, but I really implement it. The unity of knowledge and action is a very important topic, especially for medium and long-term investment.