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Contract Short Position Sharing
Currently holding two 10x isolated margin experience short positions, BTCUSDT short position of 0.0015 BTC, opening average price of 64,943.3, current mark price of 62,568.3, floating profit of 3.56 USDT, return rate of 35.71%, breakeven price of 64,888.3, estimated liquidation price of 71,323.2, the gap from the current price is large, almost no need to worry about pinning or liquidation; simultaneously opened 110 DOGE short positions, opening average price of 0.08451, current price 0.0823, floating profit of 0.24 USDT, return rate of 24.60%, liquidation price of 0.09303, ample margin of error. The overall idea is that after the market rises, the upward momentum is insufficient, so we follow the trend to lay out short positions to catch the pullback, using low leverage isolated margin mode for small trial and error, with minimal margin occupied by two positions, risk is controllable. If the market continues to weaken, hold and amplify profits; if a volume rebound breaks through the breakeven price, close the position directly to realize profits. Contract trading is safer with light positions and low leverage, only trading trends you understand, not betting on extreme market conditions. #我的Gate交易时刻
Currently holding two 10x isolated margin short positions, BTCUSDT short position of 0.0015 BTC, entry average price 64,943.3, current mark price 62,568.3, unrealized profit of 3.56 USDT, return rate 35.71%, breakeven price 64,888.3, estimated liquidation price 71,323.2, the gap from the current price is large, almost no worry about pinning or liquidation; simultaneously opened 110 DOGE short positions, entry average price 0.08451, current price 0.0823, unrealized profit of 0.24 USDT, return rate 24.60%, liquidation price 0.09303, ample fault tolerance. The overall idea is that after the market surges and lacks upward momentum, follow the trend to set up short positions to catch the pullback, using low leverage isolated margin mode for small trial and error, with minimal margin used for two positions, risk is controllable. If the market continues to weaken, hold and amplify profits; if a volume rebound breaks through the breakeven price, close positions directly to lock in profits. Contract trading is safer with light positions and low leverage, only follow trends you understand, avoid heavy positions betting on extreme market conditions. #MyGateTradingMoments