Find the reason for your own losses from the most fundamental, and then go to the adversity to turn the tables! Its core is divided into three points.
The first reason is that the heavy position, because of the revenge mentality, so it does not give itself more fault tolerance, with a fluke psychology and emotional heavy position, often the result is only one mistake will bring about liquidation. So what's the solution? That's right, clear **, strictly implement the principle of conditional point stop loss.
The second reason is that I dare not stop the loss and are ambiguous. For this point, we must first understand a principle, we may make mistakes in any market, we are not gods, but people, but you do wrong, do not dare to stop losses, this is a big problem. Even if you reach the stop-loss condition and stop the loss, you should not regret or blame yourself. Trading should not be washed by the rise or the fall, and PetroChina is a good example. Therefore, the result of not daring to stop loss is the same as liquidation.
The third reason is that you can't hold the list, and the reason why you can't hold the list is the heart disease of 95% of traders, especially **, if you can't hold the list, you can't make up for it with the bull market. Of course, not being able to hold the order does not mean that it is because of the execution of the stop loss, but that you create a panic signal for yourself and then leave the market in a panic.
In general, these three points are the core factors of whether a trader can make money in the investment market. After you understand these three factors, it will be of great help to your investment and trading path, at least it will not make you lose too much.
I'm Harry: Follow me Don't get lost and learn about the U.S. capital markets. 2024 Chinese New Year outlook