Futures
Access hundreds of perpetual contracts
CFD
Gold
One platform for global traditional assets
Options
Hot
Trade European-style vanilla options
Unified Account
Maximize your capital efficiency
Demo Trading
Introduction to Futures Trading
Learn the basics of futures trading
Futures Events
Join events to earn rewards
Demo Trading
Use virtual funds to practice risk-free trading
CFD
Stock CFD Derivatives
US Stocks
Access real US stocks and ETFs
HK Stocks
Trade quality Hong Kong-listed stocks
Korean Stocks
SK Hynix
Real Korean stocks and top assets
Stock Futures
High leverage, 24/7 trading
Tokenized Stocks
Backed by real stock assets
IPO Access
Unlock full access to global stock IPOs
GUSD
3.8%
Mint GUSD for Treasury RWA yields
Stocks Activities
Trade Popular Stocks and Unlock Generous Airdrops
Launch
CandyDrop
Collect candies to earn airdrops
Launchpool
Quick staking, earn potential new tokens
HODLer Airdrop
Hold GT and get massive airdrops for free
Pre-IPOs
Unlock full access to global stock IPOs
Alpha Points
Trade on-chain assets and earn airdrops
Futures Points
Earn futures points and claim airdrop rewards
Promotions
AI
Gate AI
Your all-in-one conversational AI partner
Gate AI Bot
Use Gate AI directly in your social App
GateClaw
Gate Blue Lobster, ready to go
Gate for AI Agent
AI infrastructure, Gate MCP, Skills, and CLI
Gate Skills Hub
10K+ Skills
From office tasks to trading, the all-in-one skill hub makes AI even more useful.
As of now, the July market is still unfolding—and the real inflection point is nearing.
After spending long enough in this market, the biggest takeaway can be summed up in one line: living longer matters more than making money faster. Risk management is the foundation of my trading, and it’s a non-negotiable bottom line. Every strategy, every adjustment to position, and the basis for entries and exits can be laid out plainly—no hiding, no mystery, and no theatrics.
Recently, the chart has been shaking hard, but I’ve always felt that—volatility itself isn’t the risk; the risk is not being able to control your impulses. The stronger the shake, the more room there is for opportunities to be redistributed. I’m planning to take advantage of this round of shakeout to re-sort my layout and timing. I want to find a few friends with similar thinking to lock down the key areas together:
· 3,000 to 8,000 U: focus on short-term swing trades; keep each trade’s position size within 10%–20%; aim to complete this round of expectations in about a week;
· 20,000 to 40,000 U: combine short and long; anchor the position size at 10%; move forward steadily within two weeks—don’t chase outsized gains; roll it forward slowly through compounding;
· 50,000 U and above: focus on long-term trend trades; test with a light position; spend a little more than half a month working out the pace of returns step by step.
After so many years, my bottom line is clear—respect the market and go all out on risk control. If the stop-loss is hit, you leave decisively—no hesitation. If the trend is confirmed, then you enter—you don’t hold positions through drawdowns, and you don’t bet on a reversal. I won’t talk about flashy things. Every plan is benchmarked against the real price action—steady, practical, and actionable.
If you’re also optimistic about the upcoming market and want to safely capture a wave of profits, you’re welcome to team up—sync your timing with mine, and seize the opportunities the market offers. $BTC $ETH #特朗普警告9月政府停摆 #GOOGL财报亮眼但盘后跌超3%