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贸易全天使用铭记|日间交易心理

2009-03-06  广州之虎
文章涉及的提出的一个最重要的(在作者的意见)方面,一般贸易和外汇交易,特别是-管理的订单和立场。 This includes choosing entry points, making decisions about exit points, stop-loss and take-profit of the trader.这包括选择切入点,决策出境点,停损,并采取非营利性的交易。

 

I hope this article will help new traders, who just began to work with Forex, and also to experienced traders who trade regularly and regularly make or loose their money to the market.我希望这篇文章将帮助新的投资者,谁刚刚开始与外汇,同时也经历谁贸易交易,并定期进行定期或宽松的资金市场。

When I started to trade Forex and made my first big losses and profits I began to notice when very important thing about the whole trading process.当我开始对贸易外汇和我的第一次大的损失和利润,我开始注意非常重要的事情时,对整个交易过程。

 

While the right time to enter a position was rarely a problem for myself (nearly 80% of all my open positions had gone into the "green" profit zone), the problem was hidden in the determining the right exit point for that position.虽然正确的时间进入了一个立场,很少为自己的问题(近80 %的我的所有未平仓合约已进入“绿色”利润区) ,问题是隐藏在确定正确的退出点的这一立场。

Not only was it important to cut my risk on the potential losses with stop-loss orders, but to limit my greediness and take profit when I can take it and make it as high as I can.它不仅是我国重要的削减风险的潜在损失,停损单,而是要限制我的贪念,并采取利润时,我可以采取并使其高我可以。 There are many known guidelines and ways to enter a right position at a right time - like major economic news releases, global world events, technical indicators combinations, etc. But while the entering into a position is optional and trade can decide to miss as many good/bad entry point moments as they wish, this is untrue if we talk about exiting a position.有许多已知的准则和方法,输入正确的立场上正确的时间-如重大经济新闻发布,全球的世界大事,技术指标的组合,等等,但同时进入的位置是可选的贸易可以决定许多小姐好/坏的切入点,因为它们希望的时刻,这是不真实的,如果我们谈论朝立场。 Margin trading makes it impossible to wait too long with an open position.保证金交易使得无法等待太久以开放的立场。 More than that, every open position in a certain way limits trader's ability to trade.更重要的是,每一个开放的立场在一定程度上限制贸易商的贸易能力。

 

Choosing the good exit points for positions could be an easy task if only the Forex market wasn't so chaotic and volatile.选择良好的出境点的职位可能是一项容易的任务,只要外汇市场并非如此混乱和动荡。 In my opinion (backed by my trading experience) exit orders for every position should be toggled constantly with time and as the new market data (technical and fundamental) appear.在我看来(支持我的交易经验)出口订单每个位置应随着时间的推移不断切换和新的市场数据(技术和基本)出现。

Let's say, you took a short position on EUR/USD at 1.2563, at the time you are taking this position the support/resistance level is 1.2500/1.2620.比方说,你在很短的立场欧元/美元在1.2563 ,当时你正在采取这一立场的支持/阻力位是1.2500/1.2620 。 You set your stop-loss order to 1.2625 and your take-profit order to 1.2505.您设定的停损,以1.2625和你采取营利为1.2505 。 So now, this position can be considered as an intraday or 2-3 days term position.所以,现在,这一立场可被视为盘中或2-3天的位置。

This means that you must close it before it's "term" is over, or it will become a very unpredictable position (because market will differ greatly from what it was at the time you have entered this position).这意味着您必须将其关闭之前, “任期”结束后,或将成为一个非常难以预测的位置(因为市场会有很大的不同是什么的时候你已经进入了这一立场) 。 After the position is taken and initial exit orders are set, you need to follow the market events and technical indicators to adjust your exit orders.之后采取的立场和初步出口订单设置,您需要遵循市场活动和技术指标,以调整您的出口订单。 The most important rule is to tighten the loss/profit limit as time goes by.最重要的规则是收紧损失/利润上限随着时间的推移。 Usually if I take a middle term position (2-4 days) I try to lower the stop and target order by 10-25 pips every day.通常,如果我采取的立场中期( 2-4天)我尝试降低制止和目标秩序10-25点子每天。

I also monitor global events, trying to lower my stop-losses when very important news can hurt my position.我还监测全球性事件,努力降低我停止损失时,非常重要的新闻可以伤害我的立场。 If the profit is already quite high, I try to move my stop-loss the entry point, making a sure-win position.如果利润已经相当高,我试着将我的停损的切入点,使确保双赢的立场。

 

The main idea here is to find an equilibrium point between greed and caution.其主要思想是要找到一个平衡点之间的贪婪和谨慎。 But as your position gets older the profit should be more limited and losses cut.但是,正如你的位置变老的利润应该是比较有限的和损失减少。

Also, trader should always remember that if the market began to act unexpectedly, they need to be even more cautious with exit order, even if the position is still showing profits.此外,交易者应该永远记住,如果市场开始采取行动出乎意料的是,他们需要更加谨慎的出口秩序,即使立场仍是显示的利润。

 

Every trader has their own trading strategy and habits.每个交易员都有自己的交易策略和习惯。 I hope this article will make its readers think about such an important aspect of trading as the exit orders and this will only improve their trading results.我希望本文将使读者思考这样一个重要的方面的出口贸易订单,这将不仅提高它们的贸易成果。

by Andrey Moraru由安德烈莫拉鲁

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