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Imagine risking 86k in capital for just 100 bucks in profit. Sure, mathematically it checks out—zero risk scenario, the math is flawless. But here's the thing: would anyone actually pull the trigger in real life? That razor-thin margin between the capital at stake and the potential gain creates psychological friction that most traders can't overcome. Even when the numbers guarantee safety, human psychology kicks in. The opportunity cost alone—tying up that much capital for such minimal returns—starts to feel absurd. This highlights a fundamental truth in trading: theoretical risk-free trades rarely materialize in the real market. Slippage, execution delays, liquidity constraints, and unforeseen volatility always introduce real-world friction that cold math doesn't capture.