Recently, fans have been asking me about contract positions:

It is very important to manage contract positions, so as to maximize the benefits of funds and avoid risks.

How to manage contract positions scientifically?

Flexible use of funds: For example, if you want to open a position of 10,000U, you can use 1,000U-10 times or 500U-20 times.

Stop loss 1%-3%,

Use 10% of funds to bet on 100% of profits, and the loss is also under control.

If you use 10,000-10 times or 10,000-20 times.

A wave of market conditions will take you away. Without the tolerance rate and the trial and error capital, it is easy to lose everything and your mentality is distorted!