Risk Management
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移动止损有用,但前提是看懂触发、跳空和流动性风险
移动止损可以跟随有利行情,但它仍是条件订单,会受到跳空、滑点、标记价格和薄订单簿影响。
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Trailing stops are useful only when traders understand trigger, gap and liquidity risk
Trailing-stop orders can follow a favorable move, but they are still conditional orders exposed to gaps, slippage, mark-price settings and thin order books.
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交易所子账户如何隔离机器人、合约和主钱包风险
子账户不只是机构功能。活跃交易者也可以用它隔离API、策略、保证金敞口和操作错误。
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How exchange sub-accounts can separate bot, futures and long-term wallet risk
Sub-accounts are not only for institutions. Active traders can use them to isolate API keys, strategies, margin exposure and operational mistakes.
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BitMine继续买入ETH,企业财库流向开始影响以太坊交易框架
BitMine新增超过7000万美元ETH,让企业财库流向不再只是比特币主题,也成为以太坊市场结构信号。
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BitMine’s latest ETH buy shifts treasury-flow analysis from bitcoin to ether
BitMine added more than $70 million of ether, making corporate treasury flow a live Ethereum market-structure signal for traders.
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Securitize上市后跌约40%,给代币化股票交易者上了一课
Securitize代表真实世界资产代币化叙事,但SPAC上市后的弱势说明:流通盘、换手和小盘股机制仍然决定交易风险。
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Securitize’s 40% post-SPAC drop is a liquidity lesson for tokenized-stock traders
Securitize is tied to a major tokenization story, but its weak trading after a SPAC debut shows why public float, holder turnover and small-cap mechanics still matter.
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Polymarket重返美国,真正要交易的是信任、规则和结算风险
Polymarket正以更合规的美国版本重新进入市场,预测市场的重点也从加密应用热度转向监管、流动性和规则可信度。
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Polymarket’s U.S. return makes trust, rules and market resolution the real trade
Polymarket is trying to re-enter the U.S. with a regulated, fiat-based product, turning prediction markets into a compliance and liquidity story rather than only a crypto app story.