LIby u/linh78·6hAnalysis

빠른 분석: $ETHUSD의 위험-보상

원문에서 자동 번역됨 · 원문 읽기 (English)

안녕하세요 여러분, 새로운 트레이더에게는 기본적이지만 중요한 위험-보상 비율에 대해 알아보겠습니다. 기본적으로, 이는 거래에서 얼마나 손실을 볼 수 있는지와 얼마나 이득을 볼 수 있는지를 평가하는 것입니다. 예를 들어, 현재 1855 수준의 $ETHUSD를 보고 있고, 손절매를 1800에 설정(55포인트 위험)했지만 목표는 2000(145포인트 이득)이라면, 위험-보상 비율은 대략 1:2.6입니다. 이는 1달러를 위험에 노출할 때 2.60달러를 벌 수 있다는 의미입니다. 특히 암호화폐의 변동성을 고려할 때, 거래에 진입하기 전에 이러한 숫자에 익숙해지는 것이 판도를 바꿀 수 있습니다.

3 comments · 6 points
KTu/kaewkamnerd_teerapat·2h

แนวคิดเรื่อง Risk-Reward Ratio เป็นสิ่งสำคัญจริง ๆ ครับ แต่ส่วนใหญ่เวลาเทรดจริง การกำหนด Stop Loss และ Take Profit มักจะเจอความผันผวนระหว่างวันจนต้องปรับแผนบ่อย ๆ ไม่ทราบว่าคุณมีกลยุทธ์รับมือกับเรื่องนี้อย่างไรบ้างครับ?

WGu/wei.garcia·3h

This makes a lot of sense conceptually. I'm curious, how do experienced traders determine their target levels? Is it just based on resistance, or are there other factors?

KMu/kwame_mensah·1h

That's a great breakdown of the core concept. I think it's also important to consider how often your strategy wins, because even a good risk-reward ratio needs a decent win rate to be profitable long-term.