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最近看了隔夜利息,正负利息 编差很大,对于周期较长仓位交易是一种很大负担,要承担更多不确定性,又得想办法减少,头大,!费用成本增加了。有什么好的想法可以交流一下老友阿!成本太高也很麻烦的事!有的货币对偏差三倍以上,就是搞到负利息要多好多好多利息。所以说交易从来就不是纯技术的问题,中间更多是一些本来就已输在起跑线上,要超越,难上加上,因为一些本来就对散户很不利,加上环境,太多因素影向,压力等,想成功,也很难!!!

Edited 02 Jun 2023, 11:07

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没办法,根据策略来,设计时就是需要仓单长,如果改变了,就重新设计策略了,核心变了,整个逻逻就是变了,不是原来的了,所以说,不是你说的一句,就随意改了,那还是原先的策略吗?当然,全放弃了,重来,那是另一回事!!
短线,不扛单,解决
除非在设计之初有考虑到,对于我的策略来说,还是有可以解决,考虑把高息货币去了,有可以改进选择,还是要试试
需要时间试试效果,

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