First of all, if we want to choose heavy trading, then I can't do it casually, because doing it casually may cause our economic losses. We must find those trading opportunities that 100% can make us profitable under our own analysis and judgment, and then start, because we all know that the market is changeable. Then our ability is limited, so if our own 100% chance is recognized, there may be problems. So at this time, we should leave the principal for a period of time to observe, and only in this way can we have greater confidence to choose.
Stop loss in time is because the position fluctuates greatly. If we lose money, it will bring us great losses. Then this time will only cause us great losses, so stop loss in time, which will give up the position and then keep the principal. In this way, you can continue to make some investments in the next time, and then you can use the principal to recover the losses. Moreover, a market like this itself is a very rational market, and we can't influence our investment path with our own emotional feelings.
Always pay attention to market dynamics. From these aspects, we must be rational when choosing clearance and heavy positions. We should pay attention to the dynamics of these markets. If there is any trouble, we should make our response. Only in this way can we get through this movement safely, instead of saying that we are completely unprepared. Once some losses occur, it will be a fatal blow to us.