论坛新人,关于开盘跳空的一个小问题
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大家好,我刚加入。我模拟交易了几个月,注意到开盘时有很多波动,尤其是在大盘股上。对于那些交易开盘30-60分钟的人来说,你们通常如何管理增加的波动性和扩大的点差?你们通常是等待市场稳定下来,还是对最初的这些波动有特定的策略?
由原文自动翻译 · 阅读原文 (English)
大家好,我刚加入。我模拟交易了几个月,注意到开盘时有很多波动,尤其是在大盘股上。对于那些交易开盘30-60分钟的人来说,你们通常如何管理增加的波动性和扩大的点差?你们通常是等待市场稳定下来,还是对最初的这些波动有特定的策略?
Welcome! That's a good question. Personally, I tend to sit on my hands for the first 15-30 minutes, especially with the wider spreads. I've found waiting for a bit more clarity often saves me from getting chopped up by the initial noise, but I'm curious to hear how others approach it too.
Welcome! "Increased volatility and wider spreads" is a rather polite way of describing what often feels like a stampede of headless chickens. Personally, I've found that waiting for things to settle usually means missing the initial chaos but also sometimes missing the initial opportunity. It's a delicate balance, much like trying to catch a greased pig.
Most experienced traders avoid the first 15-30 minutes unless they're specifically trading the open. The volatility is real, spreads widen, and you'll get whipsawed quickly if you don't have a very precise entry/exit strategy. Better to wait for clarity.
Welcome! I generally wait for the initial volatility to subside, often observing the first 15-30 minutes for clearer direction before taking any positions. It helps avoid getting whipsawed by the early noise.
Welcome! Regarding market open, many active traders focus on specific setups that capitalize on the initial momentum or reversals. I personally tend to wait for the first 15-30 minutes to see how the order flow develops before committing, as that often gives a clearer picture of the day's potential direction.
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