白銀投資風險高?其實有方法可以控制!
白銀投資風險高,似乎成為了廣大投資者的一個共識。的確在2500倍杠杆的作用下,而且國際形式瞬息萬變,白銀投資風險係數確實是挺高的。不過任何的投資都有風險,也都同樣有可以控制風險的方法,白銀投資也一樣。
1.選擇限價平臺,嚴格設置止盈止損點
休市過後白銀市場可能發生跳空,給現貨白銀投資者帶來風險。其實在平日,如果多頭空頭爭持時一方突然進攻,市場也可能發生跳空,甚至斷層。如果投資者使用市價平臺,如果跳空斷層所產生的滑點穿過止損線,系統會在滑點後的報價位才為投資者止損平倉,這可能使投資者蒙受了預期以外難以估計的虧損。 不過,如果投資者使用的是限價平臺,系統會完全杜絕滑點,只要走勢觸碰止損位元,系統將馬上在止損位置有效平倉,防範更大虧損的風險。
2.輕倉上陣,減少杠杆帶來的風險
現貨白銀投資市場是採用2500倍杠杆,讓投資者以小量資金入場,即可贏取高收益。不過投資者需要明白,高收益的投資背後,蘊藏著高風險。如果做對方向,投資者的收益會加倍,如果方向不對,虧損也可能會放大。因此,投資者使用嚴格止損限價平臺很重要。同時投資者需要保持輕倉入場,減輕虧損風險,同時輕倉有助穩定心態面對市場。
收益越大風險越大,要想在白銀投資中將風險控制在自己能力能夠承受的範圍以內,不妨採取以上兩種方案,控制風險。要想知道更多白銀投資的賺錢技巧和分析,可以留意大田環球直播間,每個交易日都會有專業分析師為你提供最專業的意見,讓你的投資十拿九穩。
推薦閱讀:現貨白銀投資如何入門?
本文來源: 大田環球貴金屬
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