該怎麼調適賠錢的心理… - 期貨

By Odelette
at 2010-03-09T10:54
at 2010-03-09T10:54
Table of Contents
給你一點建議,其實要贏也可以把你的權益拿來技術分析:
1.槓桿比例降低讓你的權益表的波動率降低,低到你沒感覺不會痛的程度,一開始會影響
操作就先降到債券等級的波動度 (本金不夠去玩模擬單,有本錢再來)
2.在每次下單前先想好風險,停損出場的點位,為自己建立一份權益趨勢表,發現自己
權益是空頭走勢時再降低槓桿
3.直到走向多頭走勢回補上次缺口時再緩慢提升槓桿
4.一有反轉現象再降低槓桿
5.反覆以上直到能長期走多頭走勢 (月均線不下彎?季線?自己找喜歡的訂)
以上走完你大概也差不多算心態穩定的交易人了
到時再來考慮跟版上高手一樣重倉
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期貨
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