现货白银投资如何应对风险
关键字:现货白银投资风险应对、现货白银投资
1、仓位一定不要太重,仓位太重会导致抗风险能力很差,另外一定要做好及时止损。
2、当金价走势出现疲软后,白银投资者这个时候就应当谨慎控制好仓位,因为目前黄金价格对市场预期变化的反应都超前于白银,金价走势出现疲软后白银可能会在下一轮下滑。
3、上涨趋势在不明确的情况下,此时就应当分部减仓;当下跌趋势明确的时候,此时就应当果断清仓或者短线做空。
4、中短期看,美元和股指都能对银价产生较大的影响,因此白银投资者需要关注美元汇率的动向和石油价格以及通胀和抗通胀政策的演变。因为美元会随着国际市场的石油价格的上升而贬值,而国际白银又是以美元标价的,美元贬值和通胀都会激发避险需求从而刺激银价进一步上涨。
5、长期看,市场供求关系能够左右白银价格波动。白银产量大幅增加,白银价格必然随之将回落。
6、金价和银价二者之间的有着很高的相关性,但是银价的波动幅度远远高于金价,所以在明确看多黄金的情况下,做多白银往往可获得很高的收益。
本文来源: 大田环球贵金属
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