ValidatorViking
The recent market has indeed been somewhat weak, but this actually gives us an opportunity. Instead of stubbornly holding heavy positions, it's better to reduce positions appropriately and lighten the load at this point. Small funds are inherently more flexible, so why not make full use of this advantage? When the market is uncertain, controlling risk and conserving ammunition are the best strategies. I favor traders who can still adjust their positions and stay rational amidst a bad market—these are the ones who often seize opportunities in the next wave of market movements.
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