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外汇市场摸爬滚打八年的经验心得二

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风险控制,最重要的是仓位,轻仓才能长久,轻仓是盈利的基础,重仓是赌运气。仓位一定要轻,至少在非马丁策略一单损失控制在10%以内,很可能连续损两到三单,回撤就30%以上了。然后就心态爆炸胡乱输出了,最后爆仓。很多时候我们做对了,但是仓位没有把握好,以致行情出来之前被扫了止损。

风险控制,第二个是不要把鸡蛋放在一个篮子里,资金要分成几份放在不同的账号,不同的账号用不同的策略下单或者跟单。外汇行情本来就有很多不确定性,而且还经常暴雷,极端行情碰到极端行情,翻仓与爆仓都是分分钟。碰到极端行情,爆仓肯定比翻仓的多,快,因为大多数策略是逆势加仓。而且行情是一阵一阵的,一个策略这个月赚钱,下个月就不一定了。不同的行情,不同的策略,不同的账户,风险分摊,这才叫投资。

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10%,一单2%不能再多了
是的 风险永远第一
💪
把好方向盘
低频去做

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