在100%预测能力下,矛盾的本质是时间与空间的匹配问题。解决方案的核心在于:
分阶段仓位管理(降低单次决策风险);
非对称风险设计(亏损有限、盈利无限);
动态验证机制(用市场信号修正路径偏差)。
最终目标:让时间成为朋友,通过仓位和复利将预测转化为绝对收益。
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