1If the funds you have been trapped are not too serious, you can choose to use the rise to reduce your position, or rebound to unwind.
2Investors who hold onto high positions can also take the initiative in psychological and financial aspects in the next wave of the market by reducing their positions at high points.
第二、根据买入的技术状态来作如下的处理:
1If trapped, the buy must immediately stop loss at a high level.
2If the purchased item is in the middle position, you can temporarily wait and see based on the situation at that time, in order to unwind and leave the market or reduce losses by reducing positions at high points.
2If the purchased item is in a balanced and volatile trend, there is no need to immediately stop the loss, just patiently wait for it to enter the high point of the volatility cycle. When the situation is resolved or the loss is very small, there is no need to be greedy to immediately exit.
①1万美金以下:每天固定2~3Strategy, to maximize profit margin for early stage capital accumulation, and develop risk control profit loss ratio based on specific capital volume!(Expected return on capital rate40%about)
②1-5万美金:以相对稳健保守的方案来操作,因为资金量不是很足,操作上以稳健为主,主要以短线利润为主,不去带任何激进操作。(Expected return on capital rate70%about)
③5-10万美金:同样的,使用稳健操作为主的方案来操作,当然仓位配置我们要相对大一些,采用中短线相结舍的方法来进行操作,用中线来把握波段利润,用短线来防止利润的回撤。(Expected return on capital rate120%Left and right)
④10万美金以上:我们提供自选操作方案来操作,20%Configure short-term positions based on left and right positions,30%Long term position allocation for left and right positions, without leaving any band out, striving for the maximum return rate! to configureVIPRisk control greatly improves the value preservation of funds, maximizing returns while reducing risks!(estimate12Arrival in month200%Left and right profit targets)!