上周全球恐慌情绪蔓延,特别是美盘时间,黄金遭遇极端行情。另外在第一次极端行情后,低估了行情的极端情况能重复出现,这在历史应该也难现。再加上货币对仓位设得有点高,所有品种加起来,已经有点偏高,非美货币对极端情况下走向是一样的,存在很大风险。预计黄金在一段时间内仍然会是这种反复行情主导。针对高波动行情,策略做了一些升级。在风控方面,增加了出现高波动情况下强制止损,美盘时段降仓位或者暂停交易,对冲止损操作更灵敏及时。另外为了保证资金安全,账户资金会缩小至2-3万美金左右。还有,交易品种进行精选压缩,只交易黄金,欧镑,欧日,欧美,奥美,美日,美加7个品种。货币对每单手数只设0.01-0.02,黄金手数0.1-0.2,根据行情适配,会逐渐增加手数,等等一系列调整措施。这个账户保持进取型;另外,计划开两个稳健型小账户,黄金单独一个账户,货币对一个账户,仓位均固定不变,按倍跟单即可。现在征求一下有兴趣的朋友,一是经纪商的选择IC;二是订阅费定黄金500F币,货币对300F币。有意见可以留言。 #EUR/USD# #XAU/USD# #EUR/GBP# #EUR/JPY# #交易笔记挑战赛第5期#
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