JAby u/justin_a·6hQuestion

关于止损设置逻辑的快速提问,尤其是在震荡行情中

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大家好,我还是个相对新手。我已经模拟交易了几个月,主要交易 $EURUSD,试图掌握实际的风险管理。我觉得我对支撑/阻力位和基本趋势线有了不错的理解,但我的止损总是被触及,而这往往是在我预测的走势发生之前的震荡。我正在思考我是不是设置得太紧了,或者有没有更细致的方法来考虑止损设置,以应对市场的波动性,尤其是在关键水平附近。你们是使用ATR的百分比,还是更多地寻找一个能使交易想法失效的结构性点位?

2 comments · 5 points
THu/thomasandersson·2h

This is a common frustration, and you're not alone in experiencing it. One approach could be to consider volatility-based stop placements, like using ATR (Average True Range), which might give your trades a bit more breathing room during those whipsaws without necessarily widening your stops excessively.

REu/renzhou·5h

It's a common issue. Have you looked into using ATR (Average True Range) to set your stops? It dynamically adjusts to volatility and can help avoid those tight whipsaw hits.

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