现货白银投资风险控制策略有哪些
关键字:现货白银投资风险控制策略有哪些
(1)严格止损策略:如果能够严守止损策略(每次下单后即设置180-300元的止损价位),那么现货白银投资买卖风险反而较股票市场更容易控制。股票采用T+1交易制度,当天下单第二天才可以平仓;但是现货白银采用T+0交易,下一秒就可以平仓,若发现方向不对,可平仓观望,付出最小的代价来盘活资金,盈利的机会亦较股票市场更多,现货白银套利额较股票也高。
(2)对冲实战策略:即同时建立买单和卖单,将损失或利润锁定在一定的区间,不至于扩大。一般不建议客户采取锁定亏损的对冲策略!实行锁定亏损是现货白银投资实战中的下下策,尤其是在资金浮亏额度特别巨大的前提下,为保全客户的最终利益才可采取此策略。锁定利润的策略可以使用,但是对技术以及策略要求较高。
(3)盈利实战策略:见好就收,获利平仓,落袋为安。蝇头小利都要赚,把握机会,就是把握赚钱的诀窍。不放过任何一个赚小钱的机会,积少成多!但是对于不清晰的行情应控制自己的贪欲,减少做单次数,并配合止损,以防万一。
(4)依据资金状况制定合理的操作计划:即合理的仓位控制,一般保证1/3以下的仓位,仓位越低,抗风险能力越强,实际承担的风险越低。在操作之前根据资金量大小合理的订制资金运作的比例,为失误操作造成的损失留下回旋的空间和机会。
(5)交易时间风险控制概率提示:每到晚上超过10点30分后,投资者在下单时必须绝对清醒,把握自己的大脑是否处于疲惫状态,避免由于判断失误造成的损失。
本文来源: 大田环球贵金属
最新内容
相关阅读
Risk Warning
Trading bullion and financial instruments carries significant risks and may not be suitable for all investors, requiring careful consideration of investment objectives, experience, and risk tolerance. Key risks include market volatility, leverage risks that can amplify gains or losses, liquidity issues that may prevent executing trades at desired prices, and technical failures in online trading systems. Prices fluctuate unpredictably, and past performance does not guarantee future results. CIDT Global Bullion Limited provides general market commentary but does not offer investment advice and is not liable for any losses incurred from reliance on its information, which may change without notice.
Jurisdiction Disclaimer
CIDT Global Bullion Limited's services are subject to local regulations and may not be available in all jurisdictions. Users are responsible for ensuring compliance with their local laws. Services are not provided in regions where they are prohibited by law, under international sanctions, or require licensing that the company does not hold. By using the platform, users confirm they are not in a restricted jurisdiction and accept full responsibility for legal compliance. The company reserves the right to decline or terminate services in restricted areas without prior notice.