As long as you open a contract, there is a certain risk. What we need to do is to control the risk!
How to control the risk rate? I can share with you a good opening strategy.
For example, if you have 500u and each order is opened with 20 times leverage, then the first position is 100u, the middle position is 150u, and the tail position is 250u. This can minimize the risk. Even if the stop loss is made, it is a loss of about 30% of the position, which is 150u. If you make money, as long as the market rebounds slightly, your average price advantage of replenishment will be revealed, and there will be at least 50% profit, which is 250u. The risk and profit are completely proportional.
What if there are two replenishments? The first position can be 100u, 150u, 200u, and the tail position can be directly 400u, 350u, 300u. This can also reduce a lot of position average price. Many people will not teach you position allocation, so you must learn position allocation. This is one of the rules for winning in the contract market.