Question about managing overnight risk with Asian markets
Still trying to get my head around managing overnight risk when trading Asian markets, particularly with a lot of the action happening while I'm asleep. For those of you active in, say, the $NIKKEI or $HANGSENG, how do you typically size your positions or set your stops to account for potential gaps or big moves you can't actively monitor?
ส่วนตัวเทรด Nikkei กับ Hang Seng สังเกตว่าตลาดมันเปิดยาว ทำให้มีเวลาแก้พอร์ตเยอะกว่า Gap ก็ไม่ค่อยรุนแรงเท่าไร