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高杠杆炒黃金如何避險?

高杠杆炒黃金如何避險?

 

炒黃金的高杠杆使得炒黃金的日內波動明顯,期望收益大。有了炒短線能夠獲利的可能。但面對波動大的投資工具,投資者沒有足夠的時間盯盤,投資風險固然很大,因此,大田小編接下來為大家講述應該如何避險。

 

1、短線炒黃金,時間點要注意

在重要的支撐線和壓力線做單,以及日線MACD指標背離和紅綠柱背離的情況下下單,或在日線大幅拉抬和打壓後看60分鐘的頂或底背離的情況下下單。MACD指標日K線以紅柱或綠柱為切入時機時,目標應該在30美元以上,在多頭市場裡,應該以跌幅過大後綠柱出現一天比前一天短的時候為切入點,出來的時機應該以看到紅柱幾天後出現紅柱比前一天短的時候逢高出局。在走的當中不能被市場震出來。

 

2、輕倉上陣比較合適

炒黃金因為含有杠杆,所以會有爆倉的危險,建議投資者在建倉時候,每筆交易資金不要超過可用預付款的20%,帳戶可用資金越多,投資者越安全。分析師的建議是在市場狀況不明朗的情況下,可以先輕倉入市,當行情走出來了,就可以梯度適當加倉。懂得倉位管理的黃金投資者才是明智的。

 

綜上所述,高槓桿黃金投資方式風險還是有的,不過還是會有可以避險的方法。然而需要注意的知識點和指標也比較多,因此,建議大家多收看大田環球貴金屬現貨黃金直播室,學習更多的炒黃金知識。

 

推薦閱讀:貴金屬交易的杠杆有什麼作用?


本文來源: 大田環球貴金屬

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