I have had a few positions liquidated recently, but fortunately the losses were not very large. I would like to ask everyone, is there any way to prevent liquidation? Is there any trading discipline?
How to choose between opening a position through a breakthrough and opening a position with a pullback in trading?
Why can you see the general direction right, but make a bad point in the transaction, and lose money instead?
In the face of sudden black swans, how should we deal with the risks in transactions?
There are many sudden changes in the foreign exchange market that will make people unprepared. For example, when I was facing a black swan before, I still wanted to carry the order and did not want to stop the loss, but there are many risks, such as the risk of jumping high and low overnight. Excuse me How is everyone coping?
How can one be called a qualified trader?