Risk Management
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股指期货现在交易的是事件日历而不是单一趋势
油价、地缘风险、科技股财报和指数期货信号并不一致,交易者应先管理事件窗口,而不是只看隔夜报价。
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Stock index futures are trading a headline calendar, not a clean trend
Oil, geopolitics, tech earnings and index futures are pulling traders in different directions, so calendar risk matters more than a single overnight quote.
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以太坊ETF资金流让ETH交易变成相对强弱测试
现货以太坊ETF资金回流后,ETH相对比特币表现更强,但交易者仍要看价格、期货基差和仓位规模是否同步确认。
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Ether ETF flows make the ETH trade a relative strength test
Ether has been acting stronger than bitcoin as spot ETF inflows return, but traders still need confirmation from price, futures basis and position size.
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Coinbase 24 小时期货也需要周末风险计划
全天候加密期货可以减少时间断层,但交易者仍要理解保证金、维护窗口和流动性变化。
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Coinbase 24/7 futures still need a weekend risk plan
Around-the-clock crypto futures access can reduce timing gaps, but traders still need to understand margin, maintenance windows and liquidity changes.
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比较 USDC 和 USDT,要看结算工具而不是口号
对交易者来说,稳定币成交量、赎回规则、交易所支持和监管暴露,比品牌偏好更重要。
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USDC and USDT should be compared as settlement tools, not slogans
Stablecoin volume, redemption rules, exchange support and regulatory exposure matter more to traders than brand loyalty.
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Kraken 移动止损跟随价格,而不是跟随侥幸
移动止损只有在提前设定回撤幅度、数量和流动性假设时,才可能真正帮助锁定利润。
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Kraken trailing stops follow price, not trader hope
A trailing stop can protect gains only when the offset, order quantity and market liquidity are chosen before the trade becomes emotional.