For me, it is not difficult to make profits, stable profits are not difficult, and even daily profits are not difficult.
In this case, why don’t I make a lot of money? I don’t know what other traders are like, anyway, I have a lot of bad habits; I don’t envy those who can double their principal in one day, because for me, doubling the principal in one day is too normal; I have also had the experience of continuously holding a heavy position and doubling the principal 10 times in one day.
But so what, doubling in one day can only be done with a heavy position, and continuing to hold a heavy position will lose it sooner or later.
So what is the most difficult thing about trading? The most difficult thing is human nature? Is it to control your greed?
My personal experience tells me that the most difficult thing is actually execution 😂😂 It is not difficult to formulate a good trading strategy, and it is not difficult to execute a trading strategy to make stable profits. The difficult thing is to strictly implement it all the time.
After making continuous profits for a long time, you will occasionally have a heavy position and a fluke mentality to resist the order. This is the most fatal. As long as you make a profit with a heavy position, it is difficult to stop. If you continue to hold a heavy position, there will be a big retracement sooner or later and all the losses will be lost.
In this case, if you can strictly implement a good trading strategy, never hold a heavy position, keep watching the market and wait for opportunities, enter the market with a light position, and manage your positions well, can you continue to make stable profits? Answer: Yes.
Now I have started again (this is the boss's sub-account I operate, the principal is 1000U, and I have made a profit of 2540U. The boss has settled 1270U for me)
Everything is going well at the moment, and it has given me hope again. I believe that this time I will be able to continue to make stable profits ✊🏻✊🏻
Total Orders: 28 Total Take Profits: 20 Take Profit Amount: $400.69 Stop Loss Amount: $390.37 Daily Profit and Loss: $10.32 (calculated based on closing records, excluding fees)
Note: Based on closing records, I still made a profit of 10U, but today I actually lost 65U 😓 (morning balance 600U), this PIPPIN caused a huge loss, the short position was not good, I held on for more than four hours and cut a loss of 140.6U, the exit point was also not good, it dropped right after I exited, I could have at least broken even or made a small profit, and the fee deducted nearly 30U from me, this trade lost 170U, plus the fees, I worked hard for nothing and still ended up losing 65 😂
So tired, those who double their positions, can you please stop posting to show off ❗ I want to double my position too, why is it so difficult, just going back and forth for nothing ❗
December 4th Review Summary: Lost to the point of despair💔❗
Total Orders: 29 Total Take Profit: 19 Take Profit Amount: $408.39 Stop Loss Amount: $806.63 Daily Profit and Loss: -$398.24 (according to the closing records, excluding fees)
Summary: I really lost track of things today, I was in a haze all day, didn’t want to talk, I feel like I have young-onset dementia, always zoning out for no reason. If I keep losing like this, I might be single for life😭
Today’s Biggest Mistake: I was woken up early in the morning by an advertising phone call, and I was very sleepy😪. After waking up, I checked my account and casually opened a large position, and in a minute lost 1900U❗❗ Today was the same situation😂. I was really very sleepy this morning and was woken up by an advertising phone call again. Habitually, I opened my phone to check the gainers list, and coincidentally, I saw a message in the group saying the bull is back. I checked the gainers list and picked a few, all directly opening at 1000U.
The RED long position earned 60 without taking profit, then I added 1000U, and finally cut losses at 43.66U. I was determined to short because I was too confident, opened a 5000U short, earned around 50 and then added 10000U short. After adding, it didn’t drop anymore, I was dizzy❗ A position of 15000 U, a rebound of 8 points almost led to liquidation. I was scared and quickly cut losses at 271.31U. In fact, if I hadn’t cut losses, it wouldn’t have liquidated; the liquidation price was 0.330, and it rebounded to 0.327 without going up.
What’s more infuriating is that after the stop loss, I reversed and opened a long position, earning 70U but I didn’t exit because I lost 300 earlier. I wanted to recover 300 in profit, but I ended up cutting at 328.55. I hadn’t even woken up, still confused, sleepy, and uncomfortable. Just lying in bed, I already lost 650😂😂 (three positions were profitable but I didn’t exit, consecutive mistakes).
After the stop loss, the balance was only 260, I felt like dying. I said I wouldn’t stare at the market or open positions; I said I would control the drawdown; I said I wouldn’t over-leverage. A series of disciplinary violations occurred, and 870 in balance is now only 260💔. I’m really stupid, how could I keep making mistakes, making mistakes continuously. If I had patiently watched the market after waking up, I could have safely made a steady profit of a hundred today without pressure. Unfortunately, there’s no if.
I have no mood to do anything, my head is pounding from the losses. Later, after getting up and patiently watching the market, I managed to increase the balance to 440U. Overall, I still lost over four hundred today, and the fees today were about 50U.
Total Orders: 20 Total Take Profit: 18 Take Profit Amount: $205.28 Stop Loss Amount: $53.54 Daily Profit and Loss: $151.74 (based on closing records, not deducting fees)
Today's Maximum Floating Loss: RLS double position, the maximum floating loss of the waterfall short position reached 60U. Before the double position, today's target profit had already been achieved. After being trapped, I just wanted to break even and didn’t want to play anymore. I just gave the opportunity and closed it all at once.
Today's Biggest Mistake: PIPPIN short position, chasing the short at 800U, reduced the take profit by 300U, leaving 500U to continue looking for shorts. The support level obviously couldn't go down, and I didn’t want to cut losses in time. I held onto the pressure level, and the floating loss reached nearly twenty without cutting. Later, breaking through the pressure level, the small bullish candle surged, and I fearfully cut losses at 46.66😓, it hurts to cut losses❗
Total Orders: 38 orders Total Take Profit: 34 orders Take Profit Amount: $147.21 Stop Loss Amount: $22.07 Daily Profit and Loss: $125.14 (based on closing record, not deducting fees)
Today's Maximum Floating Loss: TRADOOR shorted five hundred dollars, the maximum floating loss during the rebound reached 30U, today's overall retracement is not large
Today's Biggest Mistake: PIPPIN's order was not executed well, 500U bullish, the pullback scared me to stop loss at 3.19, went short again and lost 11.86, then looked bullish again but didn't hold, just closed to break even, continued to have several orders not executed well, due to the position being relatively high, influenced by the previous large pullbacks, I didn't dare to hold the bullish orders for fear of a downward spike, there are heavy orders around the 0.210 position, I always felt it would touch a bit during the pullback, but ultimately it still went up❗
Total Orders: 28 Orders Total Take Profit: 27 Orders Take Profit Amount: $113.37 Stop Loss Amount: $2.4 Daily Profit and Loss: $110.97 (based on closing records, excluding fees)
Today's Maximum Floating Loss: TRADOOR short position average price 5.42, position 1700U, maximum floating loss reached $140, the large bullish line replenishment was a bit impulsive, replenishment mistake, position was too heavy, couldn't hold when it dropped to 3.30, almost just broke even and closed, will pay attention tomorrow ⚠️
This period has been overwhelming, and my life has become a mess.
Due to losses, I don't want to reply to any messages. I've had my phone number for almost 16 years, but I haven't received calls from friends in the last two years. Every day it's either a spam call or a collection call.
I feel like I'm living like a superhero, working 24 hours a day without rest. I stay up until I'm exhausted before I rest, still monitoring the market and placing orders in my sleep. I often wake up in fear from nightmares about losing trades, feeling anxious, irritable, and distressed with mixed emotions.
I seem to have lost myself. I remember two months ago when I started with 30U, I was satisfied with earning just 10U a day. When my capital was 500, my goal was only 30. When my capital was 1000, my target was just 50. Now, over a month later, my capital has reached four thousand, and now I want to double it every day. If I don't go in heavy, I feel uncomfortable; if I do go in heavy, it's even worse. 💔
Looking at other bloggers and traders, some have doubled their investment in a day or multiplied it dozens of times in a month; I envy them. But why can't I manage heavy investments well? ❓ I can't accept it, I just can't play it well. 😂 I've also had experiences of tenfold and thirtyfold in a day, but overall, I've still lost more with heavy investments.
It's so difficult. I haven't succeeded with heavy investments, and even if I do succeed, I can't hold on to it. Right now, I don't feel like making trades. I want to take a break; I need to re-establish my plan. I want to find my original intention again.
I won't make trades tonight. I'll re-establish my plan, and tomorrow I will close my trades and start anew. I believe everything will get better.
Lost on long positions, lost on short positions, in the past two days on TRADOOR I've accumulated about two thousand dollars in stop losses, it's really messing with my mindset, it all started from a $30 stop loss (balance was 1350, now only 500 left)
After the $30 stop loss, I kept thinking about making a big profit:
Shorted and made 50 but didn't cut, lost 95 Went long and made 160 but didn't cut, lost 180 Shorted and made 60 but didn't cut, lost 97 Went long and made 30 but didn't cut, lost 78 Shorted and made 60 but didn't cut, lost 374 Shorted and made 70 but didn't cut, lost 211 Went long and made 40 but didn't cut, lost 80 Shorted and made 30 but didn't cut, lost 40 Shorted and made 100 but didn't cut, lost 80 ... and so on
Repeatedly slapped in the face, not able to take any big profits, it's really amazing, the more I refuse to accept it, the easier it is to lose, almost always holding positions worth five thousand or three thousand 😓
Really can't seem to get a grip at all, as soon as I want to hold a position, there’s always a way for it to hit my stop loss 😂
I have lost everything, really not a single cent left, all invested, today I originally wanted to go to the supermarket to buy some vegetables, but I couldn't, I've been frequently opening orders, and now the money for buying vegetables is also lost
It's really strange, many of today's heavy positions exploded at the critical point, even those that didn't explode are close to liquidation, TNSR heavy short position, liquidation price 0.3002, it rebounded at 0.300, fear stop-loss close to liquidation❗Heavy long position at low, liquidation price 0.2285, it bounced at 0.3, fear stop-loss close to liquidation❗I am already useless, it feels really painful to be alive
The more anxious, the worse it gets, I no longer have the capital to start over, the balance for opening orders is only 12U left, I won't open orders anymore, should I withdraw it to buy some vegetables tomorrow, or continue trading❓🤣
I really miss the days starting with 30U, I miss the days when the goal was to earn only 30U every day, I don't know how to go on the road ahead, I don't know what the future will be like, I hope the earth explodes soon, and everything ends quickly, I can't take it anymore💔
It's so difficult 😔❗ It's so difficult 🤣❗ It's so difficult 😭
I'm going crazy! After stopping the loss today, I gave myself two big slaps. I don't know how to describe myself anymore; I'm really speechless, super speechless.
Clearly, I could do it slowly, steadily profit, why is it so difficult to execute❓
Why is it so easy to get overwhelmed by unrealized losses❓ Can I die without heavy positions❓ Can I die if I stop the loss in time❓ Can't I hold on with light positions❓ Can't I move with light positions❓ Can't I compound slowly❓ ...❓
I can't remember how many times I've made the same old mistake.. If I don't stop the loss, I'll be liquidated! When my balance was at its lowest, it quickly returned to 30U.
The one-click stop loss cost me two thousand dollars 😭 (1168.19+34.97+55.41+123.15+89.20+40.94+321.27+9.13+96.12+85.56=2023.94)
Is it difficult to multiply the principal by 30 times in two days❓
The night before yesterday, the balance was less than 30U, and in less than two days, it has multiplied more than 30 times. Including the withdrawal part, the balance has exceeded a thousand,
Ups and downs, the reversals are too fast,, small amounts rely on luck, large amounts rely on stability, and I will continue to lower my position and maintain it in the future.
Today, the balance for the trades dropped to less than 30U at its lowest point, with only a few tens of oil left. It was close to a crash, but unexpectedly, it rolled up to 400U overnight. The brothers who followed the trades doubled their capital.
I suggest withdrawing the principal and leaving the profit to continue following the trades. Today, sigh.
Three explosions in one day! Today the little black ones are overjoyed. I didn't check the comments all day, and wow, unread 99+
Last night, the TRB was all unwrapped, and seeing SOON soar, I happened to be on duty, ready to open two more orders. The two orders chased the rise, making over a hundred, but I didn't hold on. I reversed and shorted, and it surged up without looking back. Later, I couldn't bring myself to stop loss, exploding 1900U
This morning, in a continuous high state, I added 500U. After not opening many orders, it exploded again. I added another 150U to play with U margin, and before I could roll to 500, it exploded again. Afterward, I cobbled together another 500U to continue the order-taking mode.
Because I was scared by the ZEC rise this morning, I cut two orders back and forth. The balance is only 30U now 😂, close to liquidation.
Calculating this day, I lost 1900+500+150+500=3050U.
I can't even bear to think about it, I feel like dying, feeling very uncomfortable. I'm in so much pain, yet the little black ones are happily commenting away!❗
It's already exploded, and regretting is useless. This tuition fee is a bit expensive. I hope to remember this longer in the future and correct my bad habits.
I knew he would waterfall, but still died before dawn. The greed, anger, and ignorance of human nature are vividly displayed, and it also made Xiao Hei laugh.
Sigh❗ It's really difficult, too difficult, I don't want to play anymore.
Today, I can't stop thinking about playing with multi-coin compound interest. I opened 20 altcoins and can't keep track of them. I just watch my balance decrease. I shorted this crappy TA, and my position wasn't heavy either; I couldn't hold a 1200U position and ended up cutting my losses by over three hundred.
After fear-induced stop-loss and one-click liquidation, my balance is only 200U left 😭. After that, I lost the courage to hold any positions while being bearish 💔