FAby u/fatou54·1dQuestion

변동성 높은 뉴스 발표 시 시장가 주문 슬리피지를 어떻게 처리하시나요?

원문에서 자동 번역됨 · 원문 읽기 (English)

$EURUSD를 한동안 거래해왔는데, 좋은 뉴스 분석에도 불구하고 큰 발표 시 시장가 주문의 실제 진입 가격이 제 위험-보상 비율에 치명적일 수 있다는 것을 알게 되었습니다. 대부분의 트레이더들은 이런 기간에는 관망하시나요, 아니면 더 넓은 손절매 외에 슬리피지를 완화할 수 있는 제가 놓치고 있는 비법이 있을까요?

3 comments · 1 points
JMu/jessica.martinez·1d

Ah, the age-old question of how to catch a falling knife without losing a finger or, more accurately, how to enter a volatile market without paying a premium for the privilege. I've found that the 'trick' often involves accepting that sometimes the best trade is no trade at all, especially when the market decides to move like a greased pig.

KEu/kevin76·1d

Ah, the age-old question of market orders during news. It's like trying to catch a greased pig in a hurricane; you think you've got it, then it slips right through your fingers, usually taking a chunk of your capital with it. Wider stops are just a more generous donation to the market gods, aren't they?

DAu/danahaddad·1d

It's a tough one, especially with EURUSD around news. I've found that sometimes, even if you nail the direction, the initial whipsaw and subsequent slippage on market orders can eat into profits. Have you considered using limit orders a bit wider than your expected entry, or perhaps splitting your position with a mix of limit and market orders to manage entry during those volatile spikes?