In the long run, we need to pay attention to the long-term macro-development of the whole economic system and our own macro-forecast of the relative currency countries' economy in a certain period. However, we need to pay attention to whether our margin is enough to withstand the consolidation of the disk for a long time. It is best to set a stop loss. Long-term operation is not recommended.
Generally speaking, most people are short-term, and they may trade a lot of hands in a day or a few hours. Short-term operations should always control real-time policies such as currency relativity and various indicators. Foreign exchange is suitable for short-term because it can minimize the risk, and at the same time, you should do your own psychological management of short-term. I suggest you do short-term work!
Ultra-short-term, not many people do this, because most domestic operating platforms are agents, and many of them are secondary agents. There will be a certain handling fee for a transaction, and maybe our profit can't keep up with the handling fee. So this operation method is not recommended.
The above are only personal opinions and are for reference only.