炒黄金仓位控制的初级方法
关键字:炒黄金仓位控制的初级方法
作为一名初级的炒黄金者来说,做好最基础的仓位管理至关重要。有些熟练的交易者也经常用几种货币对做对冲交易,或者一些银行间的大资金量的套利交易,这些东西自身也不是很熟悉,对一些初级交易者没有帮助,我就不再详述。
关于仓位控制问题可能各有各的不同认识,一个人在不同的交易阶段也可能认识不同。如果简单的就是认为是降低仓位其实也没有什么意义,比如10万美金老是用1标准手来回交易,那就没有体现出保证金的优越性和投机性。所以,如何建立一个适合自己特点,能承受住风险,炒黄金保本的同时获得较高收益的仓位就很关键,自然不是件很容易的事情。
我简单假设一个模型,一次直盘交易的周期为3-5个交易日,承受风险和获利预期均在10%以内,仓位大概比例设定在2万美金1标准手或者是两千美金0.1标准手,也就说承受的亏损及收益预期大概在200点以内。
高于这个比例,当被套时可能很难持仓,容易产生压力,迫使心态波动而止损,这会使本来判读正确的行情因为正常波动使其淘汰出局。这也就是说很多低于2千美元的小帐户基本属于高仓位帐户,很难抵御较大的风险波动,不管方向解读对错,最终难免出局。低于这个仓位则收益不会特别满意,心理的成就感会不高,压制住了交易的积极性。
仓位控制是简单说说自己的认识,每个人的情况个不相同,但尽量根据自己交易的特点,可承受的压力,综合自身的经济条件进行设定,这样才能保持交易的持久性及伦敦金套利的长期性。
本文来源: 大田环球贵金属
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