Many people have always struggled to understand my $GIGGLE ,
there were two instances of floating profits close to 200,000 U,
there were countless opportunities to take profits in between,
so why did it ultimately turn into a loss?
In fact, it's purely a matter of trading style.
I don’t like so-called hedging,
nor do I engage in swing trading or short-term trading.
When I buy, I set a target,
usually I will start selling when it reaches the target range,
this strategy is not suitable for everyone,
you can profit from large swings, but you must also endure significant drawdowns.

