(1) accurately predict the price changes of stock index futures and grasp the trend;
(2) Determine the stop loss point according to its own risk tolerance and strictly implement it;
(3) Expect enough profit targets and avoid greed;
(4) Try to choose the contract transactions in recent months to avoid liquidity risks;
(5) As speculative opportunities are fleeting and the market situation is ever-changing, fund management is very important.
Speculation requires knowledge, experience and risk management ability, and ordinary investors need to be cautious.