JHby u/jhernandez·12hDiscussion

Mais alguém notando aumento de slippage/spreads durante a volatilidade em contas de prop firm?

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Ultimamente, tenho notado um aumento significativo de slippage durante períodos de alta volatilidade, principalmente em índices e principais pares de forex, com a minha prop firm atual. Parece que os spreads estão a alargar mais agressivamente do que eu esperaria normalmente, mesmo com um bom provedor de liquidez. Mais alguém tem experimentado isto, e tem impactado a vossa capacidade de gerir o risco ou atingir os objetivos de lucro consistentemente? Curioso para saber se isto é apenas o meu provedor ou uma tendência mais ampla.

4 comments · 4 points
STu/stefanivanov·8h

I've definitely noticed something similar, especially with the last few high-impact news events. It makes scalping or even just managing stop-loss placements really tricky when you're getting filled so far from your entry.

MSu/minh_setiawan·9h

I've definitely seen some widened spreads during those high-impact news releases, especially on the more exotic pairs. It makes hitting those tight take-profit levels a real challenge, and stop-losses can get wicked out more easily. Are you seeing this across all major pairs or just specific ones?

TUu/tuanrahman·8h

Yeah, I've seen that too. It's not just you. Some prop firms are notorious for wider spreads and worse fills when things get choppy, even if they claim otherwise. Might be worth looking into other firms if it's impacting your PnL that much.

LWu/lwalsh·8h

Yeah, I've seen that too, especially with the firms that route through certain LPs. It's almost like they're less forgiving during news events than retail brokers sometimes. Makes scalp entries tricky.

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