The three-position strategy is indeed harsh—it's really a test of execution discipline. Most people simply can't stick with it for two weeks.
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TokenomicsDetective
· 01-11 06:32
The three-part separation strategy is definitely harsh, but the key is still needing human nature to cooperate with it.
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Turning $1,500 into $50,000? I've heard too many stories like this—how did they all end up?
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Is that friend still trading later, or has he already jumped off the roof?
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I like the concept of "rescue fund," it sounds more gut-wrenching than any risk management talk.
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I can't do the midnight computer shutdown thing, it's too hard.
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Sounds nice, but when it comes to execution, it's still "wait a bit longer"—that's human nature, right?
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Is the moving average bullish alignment really that simple? It feels like everyone has a different definition of bullish.
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Taking profits at 30% and leaving half behind—can you really hold the rest? I can't, haha.
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This theory is flawless, the problem is most people simply can't execute it, including myself.
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Isn't a 3% stop-loss too tight? Wouldn't you be cutting losses every day?
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Feels like listening to a trading course, but real situations are often much more complex.
#密码资产动态追踪 手上只有1500U想翻身,这事儿我见过太多人。三个月前有个朋友拿着这点本金来找我,最后账户做到5万U,整个过程一次都没爆仓。说实话,方法并不复杂,关键是能不能把市场当回事。
我把他的1500U分成三块,每块500U,严格隔离——这是我当年全仓爆掉后,半夜睡不着琢磨出来的活法:
**第一块做日内节奏**。每天最多开两笔单子,做完就关APP,盯屏幕多一秒都容易动歪心思。
**第二块等真正的趋势**。周线没跑出多头形态、关键位置没有实际放量突破,这笔钱就冻结着。震荡行情里乱动无非是送钱给对面。
**第三块是救命金**。行情扎针直接要爆仓时,靠这块保证金续命。爆仓只是断几根手指,本金没了才是砍头——没了本金,後面再好的机会都跟你没关系。
交易信号方面,我只认三个:日线均线没形成多头排列就空仓等,不用怕错过;放量突破前高且日线能站稳,才用小仓位试试;盈利到本金30%的时候先把一半利润提走,剩下的挂10%的移动止盈。到手的才真是自己的。
执行的时候必须把情绪锁死,像机器一样运转。开盘前写好计划,然後就死磕这个计划——止损定死3%,到了就割,没有「再等等」这种说法;盈利超过10%就把止损拉到成本价,後续都是白赚;每天午夜12点准时关电脑,任何K线再诱人也不看,睡不着就索性把交易APP删了。看得越久情绪波动越大,一波动就容易决策出错。
市场像个迷宫,很多人在里面独自摸黑。这套规则就像是点亮的灯。