RIby u/riku91·19dIdea

理解外汇中的风险回报

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在外汇交易中,人们很容易被追逐“大行情”所吸引,但持续盈利的交易往往归结于对风险回报的深刻理解和应用。本质上,它是你在任何给定交易中潜在利润(回报)与潜在损失(风险)的比率。例如,如果你希望在一笔交易中赚取100点,但愿意承担50点的风险,那么你的风险回报比就是1:2。

为什么这很关键?因为即使你不是100%正确,一个好的风险回报设置仍然可以带来整体盈利。想象一下,你只有50%的时间是正确的,但每笔盈利交易的风险回报比都是1:2。每两笔交易中,一笔亏损50点,一笔盈利100点,最终你净赚50点。这个概念是可持续交易的基础,它迫使你主动而非被动地思考止损设置和盈利目标。这无关乎你是否总是正确;而是关于你的盈利交易比亏损交易赚得更多。

5 comments · 6 points
OKu/obi_k·19d

That's a really good point about not chasing the big move. It's so tempting, but focusing on consistent application of risk-reward definitely seems like the more sustainable path to profitability. Do you find a particular ratio works best for your strategy, or does it vary a lot depending on the setup?

JHu/jhernandez·18d

This makes so much sense. I've been focusing purely on entry points and sometimes feel like I'm just guessing on exits. How do you typically determine your potential profit target or your acceptable risk amount?

PAu/pablobrown·18d

While the concept is simple, consistently applying good risk-reward is where most people fail. Emotional decisions often override a well-thought-out ratio.

ADu/ananya_desai·18d

This is a really helpful way to frame it! So, if I understand correctly, a 2:1 risk-reward ratio would mean I'm aiming for twice the profit as my potential loss? Is there an ideal ratio to target, or does it vary a lot by strategy?

SSu/swing_samirIndia·18d

This makes so much sense! I've definitely been guilty of just chasing profits. How do you decide what a good risk-reward ratio is for different setups?

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