[策略] 大家怎麼看自己的風險指標?以歐元為例
昨天被歐元婊到說不出話來,但未來這種情況只會多不會少,所以想和大家聊聊風險指標
的應用
首先昨日開盤那根下跌後,我觀察日線型態的rsv和k9, d9指標都在谷底準備翻揚(時間大
約是早上六點半),60分k也在低位,上漲是有可能的。
可惜那時我已經再押歐元空頭,心中也覺得希臘的風險事件會使指標失靈,就一路看它噴
上去,最後在1.1250棄甲投降,期貨加保證金總共損失4300鎂
附上精美的個人風險指標,看來歐元又要再拉一波了,但日線形態要轉空方,所以輕倉空
上去才是正解
順便想問問大家,怎麼看待你們的風險指標?
http://i.imgur.com/UmDcmb5.jpg
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※ 編輯: NicolasX (42.73.27.108), 06/30/2015 12:49:20
※ 編輯: NicolasX (42.73.27.108), 06/30/2015 12:55:08
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