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在疫情爆发初期,我带了一批现实里的朋友,当时因为这里没人订阅(因为贵吧),我就解开绑定了,当时现实里朋友和我都赚的很好看,每个星期出金2次到3次,出一般都是账户资金的一半左右(外盘的监管毕竟不放心而且有杠杆,所有里面资金都只是打算投资的百分之10这样),这样持续了2个月左右吧,因为当时在最好的位置做了多(我已经预感到大行情来临,并写在黑板上),却因为疫情那段时间的短线做顺手了,平了多,之后心态就差了,甚至反向开单,2,3次下来心态就崩了,做对的嫌小,做错的火大,基本把利润都吐回去了。。。。 之后整个人的心态都不会好,因为不仅你自有资金,还有朋友的资金,他们相信你才给机会,机会都不敢做单了,这么说吧,心态崩溃一般要经历几个过程,发育期(信心积累)系统正期望值单子慢慢变大————爆发期,单子最大化(系统正期望值)------衰落期(系统负)单子更大----然后回到解放前,单子和胆子猥琐(系统为负)------单子还是不敢大(系统为正))—— 心态恢复(系统为正)资金太小,你只能慢慢发育 事实上无论期望值正,还是系统正常回调,如果一如既往比例你一定能获利,可怕的是心态的崩溃

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