這樣操作的缺陷 - 期貨

By Yedda
at 2016-01-11T00:50
at 2016-01-11T00:50
Table of Contents
請教眾前輩
某成交量極活絡的指數期貨
根據觀察...在某重要數據公佈後
往往造成分k 瞬間震盪超過50點
若在數據公佈前幾分鐘
分別下了 一口多單,停損設10點,停利設50點
一口空單,停損設10點,停利設50點
數據公佈後
假如漲50點 ==> 空單停損10點,多單獲利50點,總獲利40點
跌50點 ==> 多單停損10點,空單獲利50點,總獲利40點
理論上看似無論多空皆賺(只要震盪夠大)
想當然爾事實不可能如此順利
想問問實際上這樣的操作方式會產生哪些後果呢?
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期貨
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