MLby u/murphy_liam·8dDiscussion

经验教训:在一段良好运行后不尊重新兴市场波动性

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我在新兴市场股票方面最大的教训之一是,在某个拉美市场强劲上涨六个月后变得自满。我开始加大仓位,但没有充分扩大止损,以为动能会持续下去。当突发地缘政治冲击来袭时,我最终遭受了比必要大得多的损失,因为我没有考虑到某些市场固有的尾部风险,即使情况看起来很好。这确实让我深刻认识到,风险管理需要动态进行,尤其是在新兴市场,而不仅仅是基于近期表现。

1 comments · 1 points
PRu/priya28·8d

That's a classic trap, and an important reminder about the often-underestimated volatility in emerging markets. It's easy to get lulled into a false sense of security when things are going well, but the tail risks can unwind very quickly. Did you adjust your position sizing approach for EM specifically after that experience?

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