How to systematically learn foreign exchange trading?
How to distinguish between shocks and trends?
A Huiyou told me: Look at the weekly chart more. I went to see it and found it still a bit vague, so I beg you to explain it to me in detail! Or is there any other way to judge? I no longer want to hear the analysts in the group say: Now follow the trend and make orders! It is now in a range shock, do more on dips! Novices are really distressed, I hope all Hui friends will not laugh at me and talk about me.
What cognitive biases do we have to overcome?
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?