1On1255-1260For friends who have multiple orders, in order to reduce the pressure on funds, they will reduce their positions every time they are high. After each reduction, they will use the same profit to make up for it, and in the end, there will be a small loss handling fee. The advantage of this is that there are not so many green numbers and orders in your position.
2As for the1260The ones above are even higher, and currently they seem to be very deep. So what should we do? Then the only way to first control the risk is to use rebound lock loss methods, because this point cut is more painful. Unless you really want a faster method and prioritize the small for the big, it will be even harder for you to get your order. This is not only courage but also wisdom.