In the commonly used functions on the Binance homepage, there is a "Trading Insights" section. My account's trading data over the past year shows a profit of 5418 U from coin-denominated contracts (see Figure 2), a profit of 1763 U from spot trading (see Figure 3), and a loss of 7055 U from U-denominated contracts (see Figure 4).
From the data summary, my trading this year in spot and coin-denominated contracts has been profitable, while my losses come from U-denominated contracts. The gains and losses from the margin contracts should also belong to U-denominated contracts.
Throughout this year, my spot and coin-denominated contracts have been low-frequency operations, while U-denominated contracts have been high-frequency operations.
Reflecting on my trading habits over the past year, I generally hold spot or coin-denominated contracts only when I have a particularly favorable view of a coin.
U-denominated contracts are mostly traded for the sake of trading, and a singular focus on trading U-denominated contracts with high frequency can be fatal.
In today's market conditions, I should only hold 50% of my spot positions or remain in cash waiting for a market explosion; I certainly should not be holding contracts. Yet due to the pressure of living expenses, I find myself doing what I know I shouldn’t.
My pressure in U-denominated trading comes from the expenses of living. How to change my bad trading habits is something that a profitable trader should be able to achieve; otherwise, losses will continue.
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