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MyFuturesTradingPlan目錄CONTENTSIntroductionMarketAnalysisPortfolioManagementRiskManagementExecutionandMonitoringPerformanceEvaluationandReview01IntroductionCHAPTERFuturestradingisatypeofderivativetradingwherecontractsarebulkyandsolidforfuturedeliveryofunderlyingassets,suchascommodities,bonds,orstocksToday,futurestradingisamultitrialdollarindustry,offeringopportunitiesforspecification,hedging,andriskmanagementFuturesmarketshaveexistingforcenters,initiallyasameansforfarmerstohedgeagainstpricefluctuationsingrainandothercommoditiesBackgroundofFuturesTradingByfollowingthisplan,thetradercanincreasethelifestyleofachievingtheirfinancialgoalswhileminimizingtheriskoflossTheplanoutlinesspecificstrategies,techniques,andrulesforentering,exiting,andmanagingfuturepositionsThepurposeofthisfuturetradingplanistoprovideastructuredframeworkformakinginformedtradingdecisionsPurposeoftheTradingPlan02MarketAnalysisCHAPTERFuturesMarketOverviewAnoverviewoffuturescontracts,theirstructure,andhowtheyaretradedonexchangesMarketParticipantsAbreakdownofthedifferenttypesofmarketparticipantsinthefuturemarket,includinghedges,estimators,andambitradersPriceDeterminationAnexplanationofhowfuturepricesaredetermined,includingtheroleofsupplyanddemand,aswellastheimpactofunderlyingassetsFuturesContracts01Techniquesforspottingandanalyzingmarkettrends,includingtheuseofchartsandindicatorsIdentifyingTrends02AnunderstandingofthedifferentstagesofmarketcyclesandhowtheyimpacttradingdecisionsMarketCycles03StrategiesformanagingriskandcapitalizingonmarkettrendsthroughtheuseofhedgingtechniquesPositioningandHeddingMarketTrendsandCyclesKeyEconomicIndicatorsStrategiesforincorporatingeconomicindicatorsintotradingdecisionstoimproveprofitabilityandreduceriskUsingIndicatorsinDecisionMakingAlistofthekeyeconomicindicatorsthatimpactthefuturesmarket,includinginflation,interestrates,andemploymentdataImportantIndicatorsGuidelinesforanalyzingandinterpretingeconomicdatatopredictmarketmovementsHowtoInterpretIndicators03PortfolioManagementCHAPTERDiversifiedinvestmentDiversifyfundsintodifferentfuturesproductstoreducetherisksassociatedwithasingleproduct.CoreandSatelliteStrategyPartofthefundsareusedtoinvestincoreproducts,whiletheotherpartisusedtoinvestinsatelliteproductswithhighpotential.AssetAllocationDiversionStrategiesTrendtrackingTradingaccordingtomarkettrendsandadjustingpositionsinatimelymannerwhenmarkettrendschange.MeanregressionWhenthepriceofafuturesproductdeviatesfromitsvalue,itisexpectedthatitwillreturntonormallevels,leadingtobuyingorsellingoperations.Setastoplosspointwhenenteringthemarket,andautomaticallyclosethepositionwhenthepricefallsbelowthispointtocontrollosses.SetstoplossSetastopprofitpointatthetimeofentry,andautomaticallyclosethepositionwhenthepricereachesthispointtolockinprofits.SetstopprofitStopLossesandTakeProfits04RiskManagementCHAPTERPortfolioRiskAnalysisCalculatetheriskoftheentirefutureportfoliotodeterminetheoveralllevelofriskexposureThisincludesanalyzingthecorrelationbetweendifferentfuturecontractsandtheirvolatilityPositionSizeDeterminetheappropriatesizeofeachpositionbasedonrisktoleranceandinvestmentobjectivesThishelpscontroltheimpactofanysinglepositionontheoverallportfolioMeasuringRiskMindfulnessPracticePracticingmindfulnesscanhelptradersstayfocusedandavoidemotionaldecisionsduringmarketvolatilityItinvolvesbeingawareofthoughtsandfeelingswithoutreactingtothem要點(diǎn)一要點(diǎn)二DisciplinedDecisionMakingDevelopasetofrulesandguidelinesfortradingdecisionsThishelpstradersstayobjectiveandavoidemotionalbiasesthatcanleadtopoordecisionsControllingEmotionsinTradingVSSetstoplossesoneachpositiontolimitpotentiallossesAstoplossisanordertosellapositionataspecifiedprice,typicallybelowthemarketpriceatthetimeofentryLimitOrdersUselimitorderstosetamaximumorminimumpriceforbuyingorsellingfuturecontractsThishelpscontrolriskbylimitingthepotentialgainorlossonanysingletradeStopLossesUsingStopLossesandLimits05ExecutionandMonitoringCHAPTERLimitOrdersSetaspecificpriceatwhichyouarewillingtobuyorsellafuturecontractThisensuresthatyoudon'toverpayorselltoolowStopLossOrdersSetapriceatwhichyouwanttoautomaticallysellifthemarketmovesagainstyou,limitingpotentiallossesTrailingStopOrdersAutomaticallyadjuststoplosslevelsasthemarketmovesinyourfavor,lockinginbenefitswhileallowingthepositiontorunlonger010203OrderPlacementTechniquesNewsandDataAnalysisStayuptodateonmarketnewsandeconomicindicatorsthatcouldaffectyourpositionsUseTechnicalAnalysisUtilizechartsandindicatorstoidentifypatternsandtrendsinthemarketRegularReviewCheckyourpositionsdaily,ormorefrequentlyduringvolatilemarkets,toassessperformanceandpotentialrisksMonitoringPositionsandMarketActivityRebalancePortfolioRegularlyrebalanceyourportfoliotomaintaindesiredassetallocationandrisklevelsAddNewPositionsBasedonmarketconditionsandopportunities,consideraddingnewfuturecontractstoyourportfolioCloseOutLossesIfapositionisperformingpoor,considerclosingitouttominimizelossesandfreeupcapitalforotheropportunitiesAdjustingPortfolioasNeeded06PerformanceEvaluationandReviewCHAPTERTrackingPerformanceCalculatethemaximumdrawdownofanaccounttoassessriskcontrolcapabilities.MaximumdrawdownRecordthedate,variety,volume,buy/sellprices,profit/loss,andotherinformationofeachtransactionforsubsequentanalysisandevaluation.Daily,weekly,andmonthlytransactionrecordsCountsthesuccessrateoftransactions,includingprofitableandlossmakingtransactions,toevaluatetheeffectivenessoftradingstrategies.TransactionsuccessrateIdentifyingSuccessesandFailuresAnalyzeprofitab

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