Broker margin is NOT the same as the account size you should trade with.
Margin determines whether the broker may allow you to open the position. It does not determine whether your account can responsibly survive the risk and normal price movement.
Your contract size should be based on your account size, stop distance and predetermined dollar risk — not simply the maximum number of contracts the broker allows.
What I like about futures is being able to structure the trade in advance:
Setup → Entry → Stop → Target
And this move shows why you don’t necessarily have to catch the exact bottom.
Wait for your setup. Let price confirm. Control the risk. Then give the move room to develop.
Hypothetical gross P&L based on the charted move before commissions and slippage. This is an educational example and not a trade signal. No setup is guaranteed. Futures involve substantial risk.
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