My strict rules for position management: In derivatives trading, I prioritize three points: keep position size between 5-10%, leverage no more than 8x, and enforce strict stop-loss execution.



These rules help me avoid many pitfalls and allow me to stay more stable during volatile markets.

How do you usually manage your position size and set stop-losses in derivatives trading? Comment and let’s discuss~#Gate广场四月发帖挑战
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