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My swing trade strategy is based on a careful analysis of the current economic conditions. Rather than relying on short-term speculation or trends, I make investment decisions grounded in the economic factors and events that are impacting the markets right now. This approach aims to capitalize on market fluctuations in a strategic way, with a focus on the short- to medium-term, seeking to maximize returns while managing risks.
It’s important to understand that variable income investments carry significant risks and could lead to the total loss of the capital invested. While my track record has been positive, there are no guarantees of profit with any trade. Therefore, I recommend using no more than 5% of your total capital for swing trade operations, ensuring proper risk management and protecting your overall portfolio.
If you choose to follow this strategy, always approach it with responsibility, fully aware of the risks, and with the necessary caution to safeguard your investment.
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