The four days of chaotic fluctuations have made me hesitant and cautious in judging my positions, lacking the previous aggressive "just go for it" attitude. This week, I didn't catch the right opportunities, nor did I achieve an ideal risk-reward ratio, which is a fact. Group members comforted me by saying "You haven't lost much, don't blame yourself," and I am aware of that. Pure technical strategies are indeed challenging in the current environment, and I will adjust immediately. I will only make decisions at divergence points and key levels; manage positions using "signals (buy/sell alerts)
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