shendian
s
shendian
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6 years of contract experience, do not resist the single, never blow up, short-term and medium-term, occasional long-term layout, play is the precise point entry, the conventional stop loss of about 10 points, the maximum stop loss of the trend range of a single is about 40 points, the ant warehouse resists, copy the order according to the multiple, not greedy / play is a stable, a month to triple the line! Everything with a super high winning rate is carried back, remember: as long as you don't resist once, you will return to the pre-liberation period! Only do ether, second-rate cottage long-term layout, copy according to multiples, according to my real-time principal, and so on.
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Overview
Futures trades
Stats
Total PnL%-16.34%
Total PnL-$699.86
Assets$591.95
Days active335
Max drawdown-41.73%
Win rate
0.00%Profit/loss ratio
0:0Net transfer$1,291.81
PnL%
PnL
Assets
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Positions (5)
Assets
Latest records
Open positions
History
Open positions
1.19x long
PnL
-5.79 USDT
PnL%
-73.16%
Size
--
Margin
7.62 USDT
Maintenance margin ratio
5,935.22%
Entry price
5.27
Mark
5.08
Est liq. price
--
PnL
-28.01 USDT
PnL%
-595.11%
Size
--
Margin
4.14 USDT
Maintenance margin ratio
5,935.22%
Entry price
4.7
Mark
4.14
Est liq. price
--
PnL
-10 USDT
PnL%
-169.57%
Size
--
Margin
5.39 USDT
Maintenance margin ratio
5,935.22%
Entry price
11.79
Mark
10.79
Est liq. price
--
PnL
-30.1 USDT
PnL%
-421.86%
Size
--
Margin
5.63 USDT
Maintenance margin ratio
5,935.22%
Entry price
14.27
Mark
11.26
Est liq. price
--
PnL
-35.65 USDT
PnL%
-1,113.01%
Size
--
Margin
2.49 USDT
Maintenance margin ratio
5,935.22%
Entry price
3.2
Mark
2.49
Est liq. price
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