独领风骚必暴富
vip
About Position management, short-term, medium-term, and long-term can be understood in a few simple sentences! Be sure to take a look!
Brother Saoge is all about medium to long term excess profits! This medium to long term is defined as follows:
一、medium term
1. When the profit reaches 15%, start to reduce position. This rule is not related to the time cycle. Sell while the price rises, until the principal plus at least half of the profit is dumped. Only when the remaining position is all profit, can you hold it for a long time.
2. The medium-term expectation of Brother Sao is generally set at 15-30 days, and can be extended to 60 days if the trend is good. However, there must be a 'reduce position' condition in the middle. If condition 1 is met, you must reduce, reduce, reduce. Do not ride the roller coaster frequently.
Two, long term
1, this is calculated on an annual basis. Brother Sa will Auto-Invest the combination, and regularly invest a fixed amount every month to automatically buy the favored Auto-Invest combination. This can ignore any price Fluctuation and hold it for 25 years!
2, long term, I will not operate manually, any manual non-stop operation will definitely not achieve long term.
Three, short-term
1. It's the daily pig's trotter rice, which is the reference for BTC position in the daily analysis, belongs to the free profit-taking run of making a few hundred dollars, not a medium-term or long-term operation.
2, short-term can run in three to five points, fast in about ten minutes, slow in one round within the day, definitely won't hold overnight!
Position management:
First, allocate 70% to Auto-Invest for the long term, aiming for 5-10 times the annual level of substantial returns!
2. 30% remaining, 70% in medium term rollover, 30% in short term!
Third, taking $10,000 as an example, allocate $7,000 to long term Auto-Invest, which is automatically invested monthly; of the remaining $3,000, at least $2,100 should be in medium term rollover, and $900 in short-term for intraday trading!
Fourth, the medium-term position of 2100 dollars is allocated according to the usual medium-term layout. For example, if 30% is allocated to ETHFI, then 630 dollars can be used for three buy low layouts of 310/310/310! The remaining 1470 dollars can be used for flexible margin replenishment during big dumps and increasing the position!
Fifth, a $900 short-term, which belongs to a Position that can be reimbursed for a day's expenses after losing it, and you can be a bit willful, but you can't mix long-term, medium-term, and short-term Positions together!
The above is Brother Sao's operational thinking on short, medium, and long-term layout and Position allocation!
Strict execution is required, profit and loss should be controlled, position should be managed well, not afraid of ups and downs, able to attack and defend! Only by doing so can we survive longer, accumulate small gains, truly achieve steady and stable profit!

#15天打卡挑战#
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