新人求助,关于非流动性资产的仓位管理
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交易 $EURUSD 有一段时间了,但现在在看一些小市值山寨币,滑点让我很担心。大家是如何调整仓位大小来应对那些订单簿很薄的资产,同时又不会在进出场时被狠狠宰一刀的?
由原文自动翻译 · 阅读原文 (English)
交易 $EURUSD 有一段时间了,但现在在看一些小市值山寨币,滑点让我很担心。大家是如何调整仓位大小来应对那些订单簿很薄的资产,同时又不会在进出场时被狠狠宰一刀的?
Good question. For illiquid assets, I usually aim for a much smaller percentage of my total portfolio per trade, often reducing my usual risk % by half or more. Also helps to layer entries/exits if possible.
It's a valid concern. Often, for extremely illiquid assets, you're not really 'sizing' in the traditional sense; you're more limited by what the market can actually absorb without blowing out your price. Have you considered time-weighted average price (TWAP) or volume-weighted average price (VWAP) for your entries to mitigate some of that slippage?
Ah, the joys of trying to buy a significant chunk of something with an order book thinner than my patience on a Monday morning. It's a delicate dance between getting in at a decent price and not accidentally moving the market with your enthusiasm. I've found that breaking larger orders into smaller chunks and using limit orders with patience can sometimes help, but you still need to be prepared for it to take a while, or for the price to run away from you.
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