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加密貨幣新聞文章

掌握幣安期貨交易:成功一瞥

2025/01/04 03:03

幣安上的期貨交易為交易者提供了絕佳的機會,透過槓桿、市場洞察和策略規劃來最大化利潤。

掌握幣安期貨交易:成功一瞥

Mastering Futures Trading on Binance: A Glimpse at Success

掌握幣安期貨交易:成功一瞥

Futures trading on Binance provides an incredible opportunity for traders to maximize profits through leverage, market insights, and strategic planning. Let’s break down a winning trade scenario using the SEI/USDT perpetual contract as an example.

幣安上的期貨交易為交易者提供了絕佳的機會,透過槓桿、市場洞察和策略規劃來最大化利潤。讓我們以 SEI/USDT 永續合約為例來分解一個獲勝的交易場景。

Key Trade Highlights:

主要貿易亮點:

PNL (Profit and Loss): $2,549.44 USDT

PNL(損益):2,549.44 美元 USDT

Profit is the ultimate goal, and this trade yielded a remarkable return.

利潤是最終目標,這筆交易獲得了可觀的回報。

ROI (Return on Investment): +35.65%

ROI(投資報酬率):+35.65%

This is an impressive ROI, considering that the trader managed to multiply the initial capital by 35.65% in this position.

考慮到交易者在該部位成功地將初始資本增加了 35.65%,這是一個令人印象深刻的投資回報率。

Leverage Used: 11x

使用槓桿:11x

Trading with leverage amplifies both potential profits and risks. In this case, the trader successfully managed an 11x leveraged position.

利用槓桿進行交易會放大潛在利潤和風險。在本例中,交易者成功管理了 11 倍槓桿部位。

Position Size: 162,875 SEI

部位規模:162,875 SEI

The trader took a significant position size while maintaining calculated risk management.

該交易員持有大量頭寸,同時保持精心計算的風險管理。

Entry Price: $0.4671472 USDT

入場價格:$0.4671472 USDT

Entering the market at an optimal price is critical. Here, the trader entered at $0.4671 per SEI.

以最優價格進入市場至關重要。此處,交易者以每 SEI 0.4671 美元的價格入場。

Mark Price: $0.48255 USDT

標記價格:0.48255 USDT

The current price of SEI at the time of this screenshot indicates a favorable movement.

此螢幕截圖時 SEI 的當前價格顯示出有利的走勢。

Margin Used: $7,152.17 USDT

已用保證金:$7,152.17 USDT

This represents the amount of collateral allocated to maintain the leveraged position.

這代表為維持槓桿部位而分配的抵押品數量。

Margin Ratio: 3.11%

保證金比例:3.11%

A low margin ratio reflects strong account management and reduced risk of liquidation.

低保證金比率反映了強大的帳戶管理和降低的清算風險。

Liquidation Price: $0.0000000 USDT

強平價:$0.0000000 USDT

Liquidation risk is mitigated, showing effective use of cross-margin mode.

爆倉風險降低,全倉模式有效運用。

Why This Trade Stands Out:

為什麼這項交易脫穎而出:

1. Strategic Use of Leverage

1. 槓桿的策略運用

By utilizing 11x leverage, the trader amplified potential gains while keeping the risk manageable.

透過利用 11 倍槓桿,交易者放大了潛在收益,同時保持風險可控。

2. Calculated Entry and Monitoring

2. 計算輸入和監控

The precise entry price and active monitoring allowed for optimal positioning in the market.

精確的入場價格和主動監控可以實現市場的最佳定位。

3. Cross Margin Mode

3、全倉模式

The trader opted for cross margin, which uses all available assets in the account to prevent liquidation—a strategic choice for experienced traders.

交易者選擇了全倉保證金,即使用帳戶中的所有可用資產來防止清算——這是經驗豐富的交易者的策略選擇。

4. Risk-Reward Balance

4.風險報酬平衡

Maintaining a margin ratio of 3.11% ensures that the trade has room to breathe without triggering unnecessary liquidation.

維持3.11%的保證金比例可以確保交易有喘息的空間,而不會引發不必要的強平。

Tips for Success in Futures Trading:

期貨交易成功秘訣:

1. Start Small: If you’re new to futures, practice with smaller leverage and lower position sizes.

1.從小處開始:如果您是期貨新手,請以較小的槓桿和較小的頭寸規模進行練習。

2. Always Set Stop-Loss/Take-Profit (TP/SL): Protect your investment by defining limits for acceptable loss and desired profit.

2. 始終設定停損/止盈 (TP/SL):透過定義可接受損失和期望利潤的限制來保護您的投資。

3. Stay Updated: Keep up with market news and technical analysis to anticipate price movements.

3. 保持更新:隨時了解市場新聞和技術分析,以預測價格走勢。

4. Risk Management is Key: Never trade with funds you can’t afford to lose, and always maintain a reasonable margin ratio.

4. 風險管理是關鍵:切勿以無法承受損失的資金進行交易,並且始終保持合理的保證金比例。

Futures trading is highly speculative and comes with significant risk. Ensure you have a solid understanding of the market and your risk tolerance before engaging in leveraged trades.

期貨交易具有高度投機性,並伴隨著巨大的風險。在進行槓桿交易之前,請確保您對市場和風險承受能力有充分的了解。

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2025年01月06日 其他文章發表於