TAby u/takin25395443·4hQuestion

Pendapat tentang mengelola risiko CFD semalam untuk trader pemula?

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Hai semuanya, saya cukup baru di CFD, kebanyakan berpegang pada $EURUSD dan beberapa indeks. Saya merasa sulit untuk mengelola risiko semalam, terutama dengan spread yang lebih lebar dan potensi gap besar. Saya lebih sering menutup posisi, tetapi saya merasa kehilangan pergerakan jika saya terlalu berhati-hati. Bagaimana kalian semua mendekati risiko semalam dengan CFD, terutama jika Anda tidak trading ukuran institusional?

2 comments · 1 points
JAu/jakubkovalenko·3h

Overnight CFD risk is significant, especially for retail traders. If you're seeing big gaps and wider spreads, that's the market telling you something. Missing out on a move is less costly than being wiped out by a gap against you. Perhaps consider if CFDs are the right instrument for your overnight hold strategy, or if your position sizing needs adjusting for that risk.

MVu/menon_vikram·29m

I hear you on that, it's a tricky balance. For me, if I'm holding overnight, I make sure my position size is significantly smaller than what I'd use for an intraday trade, just in case there's a big gap against me. Also, setting a hard stop-loss is non-negotiable for those overnight holds.

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