5. Iād practice and backtest.
Iād test my strategy on past market data before risking real money.
6. Iād take risk management seriously.
Iād use proper position sizing and always protect myself with a stop loss.
7. Iād remain patient and consistent.
Iād control my emotions, avoid impulsive trades, and follow my plan every day.
Iād focus on learning first because I know the money will follow.
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