- 四月 12, 2019
- 發表者: 外匯維基團隊
- 類別: 外匯交易系統
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可能有一種想法是,隨著歐洲開始上漲並開始買賣,歐元兌美元當天的早期走勢通常會逆轉.
將這個想法融入到精確的買賣計劃中, 我們按照下面的方法做;
- 使用 6:00倫敦上午開盤價有參考價值 (使用 這 if you'll want to know what time in your native space)
- Set Purchase Restrict 16 pips beneath reference value and Promote Restrict 13 pips above reference value (examined via quant evaluation to be 'optimum')
- Take revenue 31 點數, 止損 15 點數 (favorable danger to reward offers us the sting) for each trades
- Fastened commerce measurement that you're keen to lose (not too large as a result of this technique has extra losers than winners, however the favorable danger to reward ratio offers us the sting)
- We wish minimal slippage, 低的 價差 and liquid pair so EURUSD makes probably the most sense
- Cancel the opposite order as soon as one of many orders has been triggered and let the market do its job
- If order stays open at NY shut, manually shut it since there isn't any extra notable quantity at the moment to maneuver value
例如;
So I'll begin testing this technique to see whether it is even worthwhile. Be at liberty to affix me.
作者:
外匯維基團隊
我們是一支經驗豐富的外匯交易員團隊 [2000-2023] 致力於以我們自己的方式生活的人. 我們的主要目標是實現財務獨立和自由, 我們追求自我教育並在外匯市場上獲得豐富的經驗,以此作為實現自我可持續生活方式的手段.