May 26, Funds 48888

Recently, uni has taken off

Bitcoin is also slowly returning

There has been no operation recently, which is a win without effort

I want to comment on the 200u start

As for his strategic coin selection, I think it is first-class

As for his risk control, I can only say a pile of shit

Looking back at the five months since I followed him

He started with a 10x leverage and went long on Audi, ondo

Then CKB, then uni, then Bitcoin

Basically, they all had the effect of a big rise

But he never avoided a retracement

And his profit-loss ratio was too low every time

Theoretically, to recover half of the loss, he needs to earn at least 25%

But he couldn't handle the profit

Originally, he opened a 32x leverage at 63,300, and got 71,000 and basically got it all back, but he was always afraid

Brother, what are you afraid of? Don't let emotions dominate your trading

Always be rational, either make money or die, and the profit-loss ratio may be better than his current one

My current treatment of spot is still the same, no position change, hold it until death

If I'm afraid, then don't come to this market

The market is always a game for the brave

I hope that starting with 200u can control the profit-loss ratio and stop loss

After all, the fun in the currency circle is getting less and less

My current pure principal is 13w, loan + borrowing 30w, 35w in funds, 10w lent out, and the remaining loss is 16w

I hope to start with 100 this year!!!