Since November 12, it's been almost a month, and I've recorded 10 transactions. Now I can summarize them.
First transaction: exit early. Holding on would hit the stop loss.
Second transaction: exit early. Holding on would hit the take profit.
Third transaction: hit the stop loss.
Fourth transaction: exit early. Holding on would hit the take profit.
Fifth transaction: exit early. Holding on would hit the take profit.
(From the sixth transaction onwards, I learned a painful lesson, buying and not holding.)
Sixth transaction: hit the take profit.
Seventh transaction: hit the take profit.
Eighth transaction: hit the take profit.
Ninth transaction: exit early, the entry conditions are not mature.
Tenth transaction: hit the take profit.
Now the question is, should I increase the funds in the contract account?🤔$SOL

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