The owned account copy trade has been in operation for more than 500 days, and the overall funds size is more than $200,000. My investment style is mainly conservative, combining the winding theory with the Dow theory. Well versed in various K-line indicators, and used to hold medium and long-term positions on BTC and ETH.
To diversify your risk and optimize your gains, I recommend splitting my funds into 20-25 instalments so that I can be flexible and follow my margin call strategy. Given the larger size of the account, I have adopted a more cautious strategy and controlled the risks appropriately, so that investors do not need to worry too much about the risks. The transaction cycle is usually 2-3 weeks, and the main holding is spot rather than futures. After choose underlying, it is recommended to be patient and avoid frequent operations to reduce fee waste.
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