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Selection of Short-term Investment Strategy-Judgment Based on Average Adhesion State

机译:基于平均黏附状态的短期投资策略选择的判断

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With the development and evolution of the futures market, the prosperity of a country's futures market is more and more important to the country's economic development. In China, the futures market development is not perfect, futures product structure still need to improve. Futures market, the existence of many speculators, futures laws and regulations imperfect, and the development of economic globalization, are the futures investment is facing many uncertain risks. In the choice of investment strategy, more and more investors to take prudent investment strategy, which, a large part of the investors tend to technical analysis. Through technical analysis, traders judge market trends and follow the cyclical changes in the trend to make stock and all financial derivatives trading decisions. In the technical analysis, the average system analysis is the most commonly used in practice is the highest accuracy of the analytical technology, this paper through the copper, rubber, sugar, cotton, zinc, several representative commodity futures to study, to verify the average bonding State of investment strategy choice. First, this paper determines the condition of the bonding state by calculating the distance of different mean points. Then, it is judged whether the reversal of the form is long or short by the comparison of the MA value of the different mean points. Finally, the factory strategy and the factory strategy are determined. And to take more and short after the operation of the proposed stop-loss strategy. The effect of these strategies is very significant, the sum of several commodity futures net profit of 113744.79 yuan, profit and loss ratio of 2.82.
机译:随着期货市场的发展和演变,一国期货市场的繁荣对国家的经济发展越来越重要。在中国,期货市场发展还不完善,期货产品结构仍需改善。期货市场,许多投机者的存在,期货法律法规的不完善以及经济全球化的发展,都使期货投资面临许多不确定的风险。在选择投资策略时,越来越多的投资者采取审慎的投资策略,其中,很大一部分投资者倾向于技术分析。通过技术分析,交易员可以判断市场趋势,并根据趋势的周期性变化做出股票和所有金融衍生品交易的决策。在技​​术分析中,均线系统分析是实践中最常用的也是精度最高的分析技术,本文通过对铜,橡胶,糖,棉花,锌,几种代表性商品期货的研究,来验证均线邦邦投资策略的选择。首先,通过计算不同平均点的距离来确定键合状态的条件。然后,通过比较不同均值的MA值来判断形式的反转是长还是短。最后,确定工厂策略和工厂策略。并采取多空操作后提出的止损策略。这些策略的效果非常显着,几种商品期货的总和净利润为113744.79元,损益比为2.82。

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