
天台少女秋秋
天台少女秋秋
【秋名山AE86俱乐部】我们是失意者联盟,不装大神,不卖财富密码,偶尔聊行情,吹吹牛,更多时候研究:这次又是谁收割了我? 下方入口👇
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Trader's Human Weaknesses
1. Dreaming of making more profits with high leverage after a small gain is the beginning of bankruptcy. Leverage should only be gradually reduced, never increased. 2. After a few profitable trades, mistakenly believing it’s due to your own prediction skills, mistaking market gifts for ability. 3. After losses, rushing to recover, thinking the next trade will make it all back, starting revenge trading. 4. Reluctant to exit at the take-profit point, or treating the target as a market certainty, ultimately turning floating profits into losses. 5. Even with stop-loss in place, holding on with hope, or constantly moving the stop-loss, turning small losses into big ones. 6. Loosening conditions and trading on feeling after consecutive wins; arbitrarily changing stop-loss and increasing position size after consecutive losses, trying to force a turnaround. 7. Focusing on single trade profits and losses with extreme emotions—pride when winning, frustration when losing—ignoring the overall capital curve. 8. Fear of missing out on the market, rushing in with incomplete signals, trading for the sake of trading. 9. Setting key levels based on shadows on large timeframes, ignoring small timeframe trading ranges, stop-loss stuck at the wick tip, frequently getting stopped out. 10. Unable to endure the boredom of a ranging market, frequently opening positions, using poor risk-reward ratios to gamble. 11. Blaming the market for losses, taking credit for profits, never objectively reviewing each trade. **Supporting Mindset Remedies** - Floating profits are not money; only realized profits count. - Accept predetermined losses; losses are part of trading. - Don’t aim to win every trade, only seek a favorable long-term risk-reward ratio. - After consecutive wins or losses, strictly adhere to original rules; never modify them arbitrarily. - Only trade when complete signals are met,
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合约爆仓选手,最近终于认清自己可能真的不适合交易合约。
本来计划得挺好:90%买现货,10%拿来玩合约。
结果合约亏上头以后,开始一点点动用现货的钱,最后90%的现货也一起送给狗庄了。
现在重新开始,继续买BTC现货,慢慢回血,等它上10万。
不装大神,也不卖什么财富密码,都是一路亏出来的经验。
如果你也在回血路上,一起聊聊,留言都会回的。
-0.96%
Snapshot at 15 Sept 2026, 19:23
美联储这次真的动手了。
9月16日,美联储宣布加息25个基点,基准利率来到3.75%—4.00%,这是三年多以来首次加息。
对加密市场来说,利率重新往上走,意味着流动性环境开始收紧。$BTC 目前还在7.6万美元附近震荡,前几天又刚经历了清晰法案49比50未通过带来的冲击,短线情绪明显比前段时间谨慎。
更麻烦的是,市场现在面对的不只是利率。
清晰法案投票失败,让加密监管预期降温;美联储重新加息,又给风险资产增加压力。两个因素叠在一起,BTC、ETH以及SOL这类高波动资产的波动可能会明显放大。
尤其是$SOL ,前面一度跌到96美元附近,市场现在对它的承接力度也比较敏感。
这轮行情已经不是单纯看涨跌了,宏观流动性和监管消息正在同时影响资金情绪。
-1.78%
Snapshot at 17 Sept 2026, 09:59
加息落地后,$BTC 、黄金、原油开始走出三种完全不同的行情。
美联储这次将利率上调25个基点至3.75%-4.00%,同时释放今年可能还有一次加息的信号。市场真正消化的已经不只是这25个基点,而是后面的政策路径。
BTC目前在76000美元附近,9月初一度冲上82000美元,如今已经回撤超过7%。前面美国参议院49比50否决CLARITY法案,加上美债收益率走高,风险资产承压,75000美元附近依然是比较重要的位置。这个位置如果守不住,市场情绪可能继续转弱。
黄金也没能完全扛住利率压力,现货金一度从4365美元附近回落至4240美元附近。利率上升和美元走强压制黄金,但央行购金以及地缘局势仍然提供支撑,短线波动明显加大。
原油则是另一套逻辑。中东局势和供应扰动仍在影响市场,布伦特原油此前一度站上108美元附近。高油价又会反过来增加通胀压力,让美联储后面的政策空间更加复杂。
现在三种资产面对的是三个不同的核心变量:BTC看流动性和风险偏好,黄金看实际利率与避险需求,原油看供应和地缘局势。
-2.10%
Snapshot at 17 Sept 2026, 07:38

