Capital Management

 

I have an idea for the management of capital so that it can continue to market to the largest possible period of greatest loss and the conversion loss to gain market with rebound
1 - must be divided capital on 5000 points so that the price point in the deal is divided into 5000
For example - if we have a capital of $ 5,000 if the size should be the point in the transaction does not exceed $ 1
2 - if the price rebound in the first deal of the loss could be strengthened by first signing a deal again after losing 15 points and so on until the market due to the price at which it was here and it will be a huge profit at the same time, there is a strong capital management

Reason: