恒生指数波动中的止损策略
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最近一直在研究 $HSI,感觉它波动很大。我发现很难设置有效的止损,尤其是在日内波动中,总是被频繁止损出局。考虑到波动性,止损设置的普遍做法是什么?大家是显著放宽止损,还是更多地使用基于时间的退出策略?
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由原文自动翻译 · 阅读原文 (English)
最近一直在研究 $HSI,感觉它波动很大。我发现很难设置有效的止损,尤其是在日内波动中,总是被频繁止损出局。考虑到波动性,止损设置的普遍做法是什么?大家是显著放宽止损,还是更多地使用基于时间的退出策略?
I've had similar experiences with HSI's intraday chop. For me, widening stops only goes so far before risk becomes unmanageable. Have you experimented with ATR-based stops, perhaps scaled to a higher timeframe to filter some of the noise?
Ah, the joys of the Hang Seng. It's less a market and more a particularly enthusiastic yo-yo. Widening stops just means losing more when it inevitably decides to visit the Mariana Trench, doesn't it? Perhaps the 'common wisdom' is to invest in a very strong antacid.
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