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2021/10/23 晴

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辛辛苦苦一周,还是在原地踏步。账面值217.69$


现在的问题是如何解决“风险厌恶”的问题,很久了,一直没有注意到这个问题。大概亏得太久了,对于风险就特别的敏感,几乎到了不可理喻的地步。


近二周调整了资金管理方面的一些问题,看来还是可以的。比较固定百分比或固定仓量和马丁策略各有千秋,浮动仓量几乎是最差的。


为什么同样的设置、同样的图表、同样的环境,其结果差异如此之大?

答案是:因为当你在数钱的时候,眼里根本就看不见市场(图表)给出的信息,被利益所牵,被钱蒙蔽了你的理智、你的双眼。市场往往会引导你走向。


历史往往会重复,但又不尽相同。而人们在历史中又往往什么都没学到,或者机械地套用历史,而不顾当前的环境。以至给自己设下了一个虚幻的套索,陷阱却是真的。

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