黃金投資風險有哪些?要怎麼控制?
黃金投資風險有哪些?要怎麼控制?
黃金投資因含有高倍的杠杆,收益大,吸引了全球的投資者。100倍的杠杆,投資者可以以一當百。只需要百分之一的資金就可以投資黃金投資,杠杆的存在大大降低了投資者投資門檻,但同時也增加了投資的風險,今天就讓大田小編為大家講講黃金投資風險有哪些? 而黃金投資的投資者又應該如何預防這些風險?
1、黃金投資風險從何而來
眾所周知,黃金投資含有杠杆, 目前市面上的黃金投資交易杠杆大約為100倍,高杠杆提高了黃金投資的收益,比如投資者做多10手,假設買入價格是1280美元,賣出價格是1285美元盎司,因為杠杆的作用,投資者的盈利為5000美元。杠杆帶來高收益的同時,也帶來了風險,如果市場價格下降到1275美元盎司,投資者的虧損也100擴大,損失可達到5000美元。
2、黃金投資風險應該如何控制
上面提到黃金投資含有杠杆,可以大幅度提高收益,也可以增加風險,看似高風險的投資產品,其實風險可以被自己控制。風險的大小不在於投資專案本身的風險大小,而在於風險控制能力的大小。
黃金投資是屬於一般來講風險比較大的投資,就是所謂的高利潤伴隨著高風險,但這個行業的投資風險是完全可以控制的,市場上目前有市價平臺和限價平臺,其中後者可以嚴格止損止盈,當投資者在交易前設置了止損止盈,即使市場逆勢跳空,系統吧也會在止損止盈價格為投資者平倉,讓投資者掌握虧損的大小。
綜上,黃金投資因為存在高杠杆,因此也伴隨著高風險,但同時市面存在限價平臺可以很好地控制投資風險,所以總體上黃金投資的風險適中,具體操作事項可通過模擬賬戶進行體驗。
以上是大田小編為大家講解關於黃金投資投資風險的全部內容,有興趣的朋友請繼續留意大田環球貴金屬官網黃金學院欄目更新。
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本文來源: 大田環球貴金屬
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