After all, the first wave of market conditions often breaks out after a thorough washout, and it is not easy for another washout to occur. As more and more people pay attention to the subsequent market prices, uncertainty will gradually increase, so I will Switching to the spot plus futures model, or pure spot, and recycling it again after the market has fully rested, you can ensure that you will make a lot of money by adding leverage when you make money, but when you lose, just the decline in spot prices will not have too big an impact, and because Holding spot goods gives you time to continuously fine-tune your judgment in the market. However, when futures are actually losing money, you don't have such an objective mentality to judge the market, so you contacted the version of fine-tuning your judgment of the market that I just mentioned. Change.