期貨選擇權穩定贏錢? - 期貨
By Barb Cronin
at 2020-04-22T23:07
at 2020-04-22T23:07
Table of Contents
很弔詭的,想要贏錢的策略,
我現在得出來的結論卻是如何"控制賠錢".
"風險控管"似乎才是這個市場上最重要的法則.
在進場之前就先設定自己能接受的虧損程度,
然後規劃要投入多少資金,
要分批投入還是一次投入.
然後當盤勢不如預期或發生黑天鵝時,
在甚麼點位就要毅然停損退場;
在賠錢的時候能把虧的控制在一個程度,
那另一邊自然就是好好讓他去賺.
至於有甚麼交易策略或聖杯??
很抱歉,我也曾有幾次以為找到了聖杯,
後來都證明只是在盤勢順的時候自以為好棒棒罷了.
只是裡面可能被市場修理的機制,
當時自己沒想到而已.
唯一可能的聖杯,
就是在發現不對勁時,
趕快,立刻停損;
既然是要控制虧損,
就不要再去想甚麼之後如果盤勢又回來的事;
拗單,或是想從另一邊把虧損補回來,
我的經驗是最後通常都沒甚麼好下場;
立刻把部位清空,
或是使用買進選擇權的方式把虧損鎖住,
然後審視自己目前的狀況,
再來思考下一步該怎麼走;
冒著想拗回來的風險,
結果把錢賠光了,甚至還負債,
那還有下一步嗎?
投資的每一步都要謹慎.
輕視市場的,
遲早會被市場修理,
這句話好像漸漸有所體悟了啊.
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期貨
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