合約市場很殘酷,我們無法避免虧損,但我們可以通過合理的倉位分配及槓桿控制來避免爆倉這一難題。我們合約帳戶起步3000USDT, 每次下保證金的百分之二到百分之十,二十倍槓桿(因為加入了普羅米修斯風控系統)。我們主要做BTC和ETH合約,有機會也會做一做BCH, SOL, BNB等主流山寨幣。期待我們的帳戶月化收益率可達百分之二十到百分之三十,用三到五年實現一萬倍的宏偉目標!目標很宏偉,過程很艱辛!待到目標達成時,我們再一起煮酒論英雄! We are the champions.
Sometimes its trading time, sometimes its waiting to enter into the right moments, sometimes its holding to a trade. Right now its holding the short and accumulate more and more cash to buy at new lows at (60k region).. the patience will be worth it! The more BTC drops while holding cash, the higher the short profit, the more BTC is your cash worth! Think about it! 有時是交易時刻,有時是等待最佳入場時機,有時則是堅守倉位。當前階段正適合持有空頭頭寸並持續積累現金,以便在(6萬美元區域)的新低位置買入……耐心終將獲得回報!持有現金期間比特幣(BTC)跌得越深,空頭盈利就越高,現金能兌換的比特幣數量也越多!仔細想想這個邏輯!