查看: 1779|回复: 26
|
外汇的疑问。。求救
[复制链接]
|
|
发表于 29-12-2008 05:43 PM
|
显示全部楼层
。。。。。。。。。
通常他们应该不会让你的户口到负数的。
[ 本帖最后由 jianho 于 29-12-2008 05:45 PM 编辑 ] |
|
|
|
|
|
|
|
发表于 30-12-2008 10:31 AM
|
显示全部楼层
|
|
|
|
|
|
|
发表于 29-12-2008 08:38 PM
|
显示全部楼层
文仔就是文仔。。。
强!!!! |
|
|
|
|
|
|
|
楼主 |
发表于 29-12-2008 08:57 PM
|
显示全部楼层
那么如果价钱在1.3952,trader b 就亏了192k咯? |
|
|
|
|
|
|
|
发表于 29-12-2008 07:24 PM
|
显示全部楼层
原帖由 lawhal83 于 29-12-2008 07:04 PM 发表
那么我是LEVERAGE 1:10,RM10K开始投资,意思是说他们会直到我的RM1K亏完为止啦。。
那么如果我BUY ON 1.98,
做
SL ON 1.96,
TP 2.10
LET SAY
2.10PM 1.99
2.11PM 2.08
2.13PM 1.97
2.15:10 PM 1.93
2. ...
只要是hit 到你set 的stop lose ... 不用说啦 当然会帮你卖掉。。 特别是亏钱的时候。。。 习惯就好 |
|
|
|
|
|
|
|
楼主 |
发表于 29-12-2008 06:32 PM
|
显示全部楼层
嗯,这知道。。那么我是想问看,我这情况下,我是亏到rm1k,他们就会要我加deposit的了咯? |
|
|
|
|
|
|
|
发表于 29-12-2008 06:50 PM
|
显示全部楼层
原帖由 lawhal83 于 29-12-2008 06:32 PM 发表
嗯,这知道。。那么我是想问看,我这情况下,我是亏到rm1k,他们就会要我加deposit的了咯?
不会的,他们会让你一直trade直到连最小的lot size也买不起
他们不会叫你deposit的,里面剩几毛钱,他们依然会send monthly report给你 |
|
|
|
|
|
|
|
楼主 |
发表于 29-12-2008 07:04 PM
|
显示全部楼层
那么我是LEVERAGE 1:10,RM10K开始投资,意思是说他们会直到我的RM1K亏完为止啦。。
那么如果我BUY ON 1.98,
做
SL ON 1.96,
TP 2.10
LET SAY
2.10PM 1.99
2.11PM 2.08
2.13PM 1.97
2.15:10 PM 1.93
2.15:20 PM 1.90
2.15:21 PM 1.95
2.15:35 PM 2.05
2.15:55 PM 2.11
那么,我的系统会在那里帮我停的。
因为外汇千变万化,难道我在这一秒亏钱,他就立刻帮我SL? |
|
|
|
|
|
|
|
外汇的疑问。。求救
想问下,如果我放1000,leverage 1:10=10k
然后
星期1 亏了10%,sl =remain 9k
星期2 赚了5%,tp =remain 9450k
星期3 亏了10%,sl =remain 8505
星期4 亏了10%,sl =remain 7655
星期5 赚了5%,tp =remain 8037
那么样的话,我到星期五,就得给我亏了的1963了咯
就是说我的户口的1k已经亏完,还得自己补回963咯+利息咯。。 |
|
|
|
|
|
|
|
发表于 29-12-2008 07:25 PM
|
显示全部楼层
原帖由 lawhal83 于 29-12-2008 07:04 PM 发表
那么我是LEVERAGE 1:10,RM10K开始投资,意思是说他们会直到我的RM1K亏完为止啦。。
那么如果我BUY ON 1.98,
做
SL ON 1.96,
TP 2.10
LET SAY
2.10PM 1.99
2.11PM 2.08
2.13PM 1.97
2.15:10 PM 1.93
2. ...
你的leverage 倒反了,应该是10:1吧,看下面解释
Example of Margin Calculation
Trader A's account equity is $1,000,000. Theaccount is set to 1% margin or 100:1 leverage. This means that forevery lot opened, Trader A must maintain at least $1,000 in margin.
Assume Trader A is long 400 lots of EUR/USD at 1.4000 with a 2-pip spread. The used margin is as follows:
Used margin = Margin requirement per lot * Number of lots
Used margin = $1,000 * 400 = $400,000
The spread cost is as follows:Spread cost = Number of lots * Pip cost per lot * Number of pips in spread
Spread cost = 400 * $10 per pip * 2 pips = $8,000
Trader A is left with equity of $992,000 after the $8,000 spread cost is subtracted. The trader's usable margin is as follows:Usable margin = Equity - Used margin
Usable margin = $992,000 - $400,000 = $592,000
At a value of $10 per pip, the EUR/USD would have to fall 148 pipsbefore margin would be called and all positions closed outautomatically. The following clarifies how the margin close-out levelis determinedips to margin close-out = Usable margin / (Pip cost per lot * Number of lots)
Pips to margin close-out = $592,000 / ($10 per pip * 400 lots) = 148 pips
Trader A will receive a margin close-out, and all trades will be closed, if the price drops 148 pips from the entry price. Margin close-out price = 1.3852.
| Equity ($) | Margin | Leverage | Minimum Margin Requirement | # of
Lots Open | Used
Margin | Usable
Margin | Trader A | $992,000 | 1% | 100:1 | $1,000 | 400 | $400,000 | $592,000 |
Trader B's account equity is $1,000,000.The account is set to 2% margin or 50:1 leverage. This means that foreach lot opened, Trader B must maintain at least $2,000 in margin.
Assume Trader B is long 400 lots of EUR/USD at 1.4000 with a 2-pip spread. The used margin is as follows:Used margin = Margin requirement per lot * Number of lots
Used margin = $2,000 * 400 = $800,000
The spread cost is as follows:Spread cost = Number of lots * Pip cost per lot * Number of pips in spread
Spread cost = 400 * $10 per pip * 2 pips = $8,000
Trader B is left with equity of $992,000 after the $8,000 spread cost is subtracted. The trader's usable margin is as follows:Usable margin = Equity - Used margin
Usable margin = $992,000 - $800,000 = $192,000
At a value of $10 per pip, the EUR/USD would have to fall 48 pipsbefore margin would be called and all positions closed outautomatically. The following clarifies how the margin close-out levelis determinedips to margin close-out = Usable margin / (Pip cost per lot * Number of lots)
Pips to margin close-out = $192,000 / ($10 per pip * 400 lots) = 48 pips
Trader B will receive a margin close-out, and all trades will be closed, if the price drops 48 pips from the entry price. Margin close-out price = 1.3952.
| Equity ($) | Margin | Leverage | Minimum Margin Requirement | # of
Lots Open | Used
Margin | Usable
Margin | Trader B | $992,000 | 2% | 50:1 | $2,000 | 400 | $800,000 | $192,000 |
|
|
|
|
|
|
|
|
发表于 30-12-2008 08:25 AM
|
显示全部楼层
|
|
|
|
|
|
|
楼主 |
发表于 30-12-2008 10:13 AM
|
显示全部楼层
没有这样狠啦。。。现在学习着demo..用那个平台好点。。。如果我是下载metatrader中文版,到时我真的买时,可以用中文的么 |
|
|
|
|
|
|
|
楼主 |
发表于 30-12-2008 10:15 AM
|
显示全部楼层
有什么中文版的帖子可以学习的吗。。
或者一个一个解释蜡烛表那些的。感恩 |
|
|
|
|
|
|
|
楼主 |
发表于 30-12-2008 10:46 AM
|
显示全部楼层
sell usd jpy....亏了。。。我是看好jpy会起么,我就sell usdjpy。。是这样么 |
|
|
|
|
|
|
|
发表于 30-12-2008 10:58 AM
|
显示全部楼层
原帖由 lawhal83 于 30-12-2008 10:46 AM 发表
sell usd jpy....亏了。。。我是看好jpy会起么,我就sell usdjpy。。是这样么
你的逻辑是对的,但你没有考虑到USD的强弱。 |
|
|
|
|
|
|
|
楼主 |
发表于 30-12-2008 11:01 AM
|
显示全部楼层
|
|
|
|
|
|
|
发表于 30-12-2008 11:11 AM
|
显示全部楼层
原帖由 lawhal83 于 30-12-2008 11:01 AM 发表
哦。。。ok。。今天学到少少。。
你很快就会把外汇加进你的blog里面了 |
|
|
|
|
|
|
|
楼主 |
发表于 30-12-2008 11:39 AM
|
显示全部楼层
|
|
|
|
|
|
|
发表于 30-12-2008 11:49 AM
|
显示全部楼层
原帖由 lawhal83 于 30-12-2008 11:39 AM 发表
做么这样说。。。。。
因为外汇很好玩啊,比基金股票好玩 |
|
|
|
|
|
|
|
发表于 30-12-2008 11:49 AM
|
显示全部楼层
外汇让人着迷。。。。。。 |
|
|
|
|
|
|
| |
本周最热论坛帖子
|