I am here to report the results of yesterday's contract grid robot, and the expected profit was achieved. Someone asked why the grid was ended around 09:30? There will generally be large fluctuations around 08:00 (affected by the opening point and the settlement point of the funding fee), and it should be ended at 07:30. Reply: 1. At present, it is the trial strategy stage. If you want a grid strategy that can make stable profits in the long term, you can withstand short-term fluctuations; 2. Personal work habits and time.
Thinking in the past few days:
1. The contract grid does have a higher risk-return ratio than manual operation, but no strategy can make money forever and apply to all markets. Only continuous optimization can achieve the best strategy for applicable currencies in the short term;
2. As long as the grid operation range of the situation direction is accurately judged, the grid operation will increase the profit, but the risk will also increase;
3. The grid is a high-frequency market transaction, and the handling fee is really high. It would be nice to have a high rebate.
Let's continue to optimize the strategy today and invest 1000u to run. I will report to you tomorrow.
The above is not an investment suggestion. DYOR!