2024.8.15 Funds: 50444U
Continue to break the new high of 50444U, one step at a time!
Being able to deposit 250U every day and control the retracement is actually really good. The market has been volatile recently. The first hour was still full of vigor and energy, and the next hour was like a torrent falling three thousand feet. The funds were also slowly rising in the bumps.
Yesterday I operated a wave of TON, and the operation was not very good! Originally, when it broke through the previous high of the hourly line of about 6.8, I opened a long position to prepare for a wave of market, but soon after I bought it, a large negative line was closed, which felt a bit like a trend of closing a large negative line. I was lured into shorting by this wave. After being lured into the rise, I felt that the probability of falling was still a little higher, after all, there was a previous high pressure position, and then I closed the long position and opened a short position, and the result was a wave of pull-up. . .
I started to increase my position to make a shock callback, and the highest I was trapped by several hundred U, and I still did not do a good job in the position of replenishing my position. I covered my position too frequently during that wave of rise, and my position was relatively heavy at that time. If it exploded, the risk would be unimaginable. Then I had another order to cover my position at around 7.35, but it only rose to 7.25 and then began to retreat. I also closed my short position and went long, and finally closed both positions at the balance between long and short positions. Overall, I did not lose money in this wave. Of course, there was no profit, so I can only say that it was a capital-protecting operation.
If I was a little greedy and did not go long, I would actually have a profit of several hundred U now, but the market situation in this market is unclear. Sometimes you really can't be too greedy. It is a good thing to get your money back and get out of it.
You will have opportunities and operating space when there are funds in the future market.
At present, ZEC and SATS have triggered the stop profit and closed, and the position of private domain has also been adjusted. WIF has been closed, and TON was short yesterday, earning dozens of U. Currently, I am shorting and waiting for the opportunity to ride the wind and waves.
Current positions: BONK, W, WIF, ONDO (bullish)
SUI, AAVE, CRV (bearish)
Plan your trades, trade your plans.