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?
Why do some people want to call orders? If he can make money by trading, is he still using it to call orders?
What do you think about this question?What do you think?
What are the advantages of weekly trading over daily trading?
Fund management has always been a headache for me. May I ask you guys, how can I do a good job of position control?
What do you think are the core competitiveness of a good broker?
