In, POSITION SHOWS the PROPORTION that INVESTOR INVESTS ACTUALLY AND REAL INVESTMENT CAPITAL namely ACTUALLY.
For example, if you have 10,000 actual investment funds, and you now use 3,000 yuan to buy a certain kind, your position is 30%.
If you use 10,000 all, it’s full position, and if you sell all, it’s short position.
Positions are divided into light positions, middle positions and heavy positions. The difference between the three positions is the different proportion of margin occupied.
In foreign exchange trade homeopathic order, can retain the middle position, other positions as liquidity position.
The specific Settings can be adjusted according to the individual needs of investors.
If investors pay attention to short – term operation, can increase liquidity position;
‘If attention to the midline operation, the liquidity position can be reduced.
In foreign exchange trading against the trend of making orders, before the consolidation area breakthrough, investors need to take a light position operation, try not to carry out heavy position operation, wait for the breakthrough after the appropriate increase in position (can be added to the position).
In countertrend trade, unless market direction produces apparent change, do not have heavy warehouse operation opportunity otherwise.
In foreign exchange trading, the whole position control is relatively strict. Before the consolidation area is broken through, the heavy position can not be operated, and the position can be gradually increased after the breakthrough.
In addition, it is necessary to establish a position before opening a position in foreign exchange trading, and the control of the position starts from the position.
Under normal circumstances, it is best for investors to control the size of their positions within 20 percent of their total funds to avoid the occurrence of a burst position.
After establishing a position, investors need to add or reduce the position appropriately according to their own actual situation and market fluctuations.
The dollar hit a new 20-year high, gold tumbled nearly $70 and U.S. stocks entered a technical bear market.
Please pay attention to the specific operation, the market is changing rapidly, investment needs to be cautious, the operation strategy is for reference only.