#晒出我的持仓收益#


The previous benchmark position was stopped out at breakeven, and I'm opening a new benchmark short position. I don't necessarily need 2188; if there's a bigger swing, like reaching 2200, that would be an even better entry point for the first position, but generally I don't pursue that.
As long as it's higher than where I shorted, that's acceptable.
Live streaming as usual on Sunday. 2400 is something we've been advocating and cautious about for the past month and a half, and what we're mainly focused on is concentrated positive catalyst explosions. Generally once we reach the target level, we can first enter a short position at the initial size, and add more within the predicted range. I know some people insist that I must short to 2400 at a "good position," but this psychology is the same as those who want to wait for the lowest point to long from the bottom, which is not very meaningful.
Only high leverage traders care about position quality, because even a small swing can trigger liquidation, so careful attention is required. But for long-term positions, there's no need for this.
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