年前的单子已全部平仓,核心原则永不扛单、风险第一,利润第二,投资组合风险,不同币种,同策略间分配资金和仓位,风险分散。 All orders from the previous year have been closed out. Our core principle is never to hold orders, prioritizing risk over profit. We manage portfolio risk by allocating funds and positions among different currencies and strategies to diversify risk.