帮助中心-外汇交易网
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          常见问题
     
          1.什么是外汇?
     
          外汇交易是全球最大的金融市场,日平均交易量达5万亿美元。外汇交易是买进一种货币的同时卖出另一种货币,因此它总是成对交易。外汇报价也是根据市场需求和供给的关系而不断浮动。
     
          2.我该怎样通过外汇交易赚钱?
     
          赚钱的方法一般就是低买高卖或者高卖低买,由于外汇交易商提供了杠杆,从而使您可以用更少的钱而参与到外汇交易市场中去,赚取更多的利润。
     
          3.外汇是一个公平的市场吗?
     
          外汇被认为是地球上最公平、最透明的市场,最主要的原因就是因为大量的市场参与者,庞大的规模和交易数量,使得没有一个单一国家或银行能够完全控制货币的方向。
     
          4.外汇市场在哪里?
     
          外汇市场没有固定的场所,属于场外交易。它和期货和股票不同,不是在交易所内买卖。而是由银行、政府、对冲基金或私人投资者之间产生的无柜台交易,一般通过电子通讯实现,每周5天*24小时均可交易。
     
          5.谁是外汇市场的主要参与者?
     
          在外汇市场的参与者主要是中央银行,商业银行和投资银行,但近年来由于互联网的发展对外汇市场的影响,使可参加人数大大增加。现在外汇交易的参与者还包括大型跨国公司,基金经理,注册交易商,货币经纪公司和私人投资者。
     
          6.外汇市场什么时候开始和关闭?
     
          外汇市场是一个24小时的市场,每一个交易日从惠灵顿,新西兰移动到全世界的每一个金融中心。这里的大部分外汇交易发生在东京,伦敦和纽约。外汇市场开放上周日晚上10:00(格林威治标准时间),关闭在周五下午10:00(格林威治标准时间).
     
          7.哪些货币对是最常交易的货币对?
     
          流动性最强的货币一般来自于那些具有稳定的国内政治以及备受尊敬的中央银行的国家。这些货币与美元组成货币对,一般被称为主要货币对。在外汇交易市场中,这些主要货币对的交易量占85%。比如EUR/USD, USD/JPY, GBP/USD, AUD/USD, USD/CHF 和 USD/CAD.
     
          8.在外汇交易中我该如何控制风险?
     
          在外汇交易中有很多种控制风险的风险管理策略。其中最常用的就是止损和限价。止损可以直接在MT4平台上设置,通过设定自己能承受的亏损来规避大范围的风险。限价和止损以同样的方式执行,但是可以允许设置在更高的价格。
     
          9.当交易外汇时有哪些交易策略?
     
          外汇交易者们通常采用技术面分析或基本面分析策略。最近几年技术分析越来越受到追捧,技术交易者们通过对趋势线、支撑线和阻力线的判断来做一些短线或中线交易。而有些人则是通过解读经济信息来做交易,比如新闻,政府报告,经济数据甚至某些谣言。而另外也有一些投机者则对除基本面和政策面外的突发事件感兴趣。而这些突发事件比如央行干预,利率变动,政治时间甚至战争,都对行情影响比较大,一旦抓住机会,就可以获得丰厚利润。
     
          10.在外汇市场交易需要花很多钱才行吗?
          
    不, 外汇交易从来没有像现在这么便宜。交易者只需要申请一个账号并只需要入金几百美金甚至几十美金即可开始交易。通过1:500的杠杆可以使交易者的利润放大,当然同时也会使交易者的亏损加快。
     
          11.保证金是什么意思,保证金是如何计算的?
     
          保证金是指您打开一个仓位所需要垫付的金额。这个金额在你平仓后会退回到您的账户。保证金是根据交易货币对的基础货币换成成美金而成,计算中设计交易量的大小以及杠杆的大小。如果您没有足够的可用保证金,那么您就不可以开设新的仓位,您账户上显示的可用保证金是您能够用来交易的保证金。
     
          保证金的计算方法如下:
     
          保证金需求 = (现有货币对报价 x 交易数量) /交易杠杆
     
          举例如下:
     
          如果您打开一个仓位数量是0.1手(10000),价位是1.35645,杠杆是1:400.那么您需要支付保证金:
     
          (1.35645 x 10000) / 400 = $33.91
     
          在这里例子中,你需要垫付33.91美金作为保证金。因此您的账户中需要至少有33.91美金。
     
          12.什么是过夜利息?
     
          保证金可以视作维持开仓部位所须的实际押金。这并非一项收费或交易成本,只是将您的账户净值的一部位拨出及分配为保证金存款。保证金要求(每手1K)以名义交易量的某一百分比再加小量的缓冲额厘定。加上缓冲额是为了减轻每日/每周波动的影响。保证金交易可以对您的交易体验构成正面及负面的影响,因为盈利及亏损可以被大幅扩大。
     
          13.滑点是什么及为什么会发生滑点?
     
          滑点是金融市场的一个固有部分。无论您是买卖股票,期货,商品或外汇您都将遇到滑点。当您要求做一个市价订单的时候,您的订单将会传输到真正的金融市场上。而当输入订单时,可能当时市场价格已经发生变化,所以当您的订单成交时可能已经是一个新的价格。当市场发生剧烈波动时,滑点可能会增大。所以当你在正常的市场条件之外交易的时候(比如非农数据公布),尤其要注意这一点。
          在市场急剧波动时,一旦触及到止损价格,系统可能会以一个市场价格而不是你设定的止损价格成交。因此我们不保证在特殊行情下将你的订单按照你设定的止损价格成交。
     
          14.什么是点差?
     
          在外汇交易中,您会看到一个两边的报价,由买价 (ask) 与卖价 (bid) 组成。买价代表您能买入基础货币的价位 (同时卖出非基础货币);卖价代表您能卖出基础货币的价位 (同时买入非基础货币) 。买价与卖价的差别为点差,交易商通过买卖的点差获利。

     
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          地址:成都市青羊区人民南路一段86号
     
          邮编:610000
     
          邮箱:352060051@QQ.COM


    Help center
     
          Common problem
     
          1. what is foreign exchange?
     
          Foreign exchange trading is the largest financial market in the world with an average daily trading volume of $5 trillion. Foreign exchange deals are bought into one currency while selling another currency, so it is always a pair of transactions. Foreign exchange quotations are also floating according to the relationship between market demand and supply.
     
          2. how can I make money through foreign exchange trading?
     
          The way to make money is generally low purchase, high sale or high sale and low purchase, because foreign exchange dealers provide leverage, so that you can participate in the foreign exchange market with less money and earn more profits.
     
          3. is foreign exchange a fair market?
     
          Foreign exchange is considered to be the most fair and transparent market on the planet. The main reason is that a large number of market participants, huge scale and quantity of transactions make no single country or bank fully control the direction of money.
     
          4. where is the foreign exchange market?
     
          There is no fixed place in the foreign exchange market, which belongs to the over-the-counter trade. It is different from futures and stocks, not on an exchange. It's a counter free transaction between banks, governments, hedge funds or private investors. It is generally realized through electronic communications, and can be traded 5 days a week, *24 hours.
     
          5. who is the main participant in the foreign exchange market?
     
          Participants in the foreign exchange market are mainly central banks, commercial banks and investment banks. But in recent years, the impact of Internet development on the foreign exchange market has greatly increased the number of participants. Participants in the foreign exchange deal now include large multinational companies, fund managers, registered traders, money brokerage company and private investors.
     
          6. when does the foreign exchange market start and close?
     
          The foreign exchange market is a 24 hour market, and every trading day moves from Wellington to New Zealand to every financial center in the world. Most of the foreign exchange transactions here are in Tokyo, London and New York. The foreign exchange market opened at 10:00 on Sunday evening (Greenwich standard time) and closed at 10:00 p.m. Friday (Greenwich standard time).
     
          7. which money is the most frequently traded currency pair?
     
          The most mobile currency is generally from countries with stable domestic politics and highly respected central banks. The currency pairs of the currency and the dollar are generally referred to as the main currency pairs. In the foreign exchange market, the trading volume of these main currencies is 85%. For example, EUR/USD, USD/JPY, GBP/USD, AUD/USD, USD/CHF, and USD/CAD.
     
          8. how do I control the risk in foreign exchange transactions?
     
          There are many risk management strategies for controlling risk in foreign exchange transactions. The most commonly used is to stop and limit the price.  The stop loss can be set directly on the MT4 platform to avoid large risks by setting the loss that you can bear. The price limit and stop loss are executed in the same way, but can be allowed to be set at a higher price.
     
          9. what are the trading strategies when dealing with foreign exchange?
     
          Foreign exchange traders usually adopt technical or basic analysis strategies.  In recent years, technology analysis is more and more popular. Technology traders make some short or middle line transactions by judging the trend line, supporting line and resistance line. Some people do business by reading economic information, such as news, government reports, economic data and even some rumours. In addition, some speculators are interested in unexpected events except the fundamentals and policy. These emergencies, such as central bank intervention, interest rate change, political time and even wars, have great impact on the market. Once we seize the opportunity, we will get huge profits.
     
          10. in the foreign exchange market transactions need to spend a lot of money?
     
          No, foreign exchange transactions have never been as cheap as they are now.  Traders only need to apply for an account and start trading with only a few hundred dollars or even dozens of dollars. The leverage of 1:500 can magnify the profits of traders and, of course, make the losses of traders faster.
     
          11. what is the meaning of the margin, and how is the margin calculated?
     
          A deposit is the amount that you need to pay for the opening of a position. This amount will be returned to your account after you are flat. The margin is replaced as gold currency trading currency on the basis to the design calculation of the volume of transactions and the size of the lever. If you don't have enough margin, you can't open a new position. The margin available on your account is the margin that you can use to trade.
     
          The method of calculating the margin is as follows:
     
          Margin demand = (the amount of current currency to quote x transaction) / transaction lever
     
          Examples are as follows:
     
          If you open a position of 0.1 hands (10000), the price is 1.35645, and the lever is 1:400., then you need to pay the deposit:
     
          (1.35645 x 10000) / 400 = $33.91
     
          In this example, you need to pay $33.91 as a deposit. So you need to have at least 33.91 dollars in your account.
     
          12. what is the overnight interest?
     
          The actual deposit deposit can be regarded as necessary to maintain open positions. This is not a charge or transaction cost, but only a part of the net value of your account is allocated and allocated to a margin deposit. The margin requirement (1K per hand) is determined by a certain one hundred point ratio of the nominal volume and a small amount of buffer. The amount of buffering is added to reduce the impact of daily / weekly fluctuations. Margin trading can have a positive and negative impact on your trading experience, as profits and losses can be greatly expanded.

          13. what is the slide point and why does it happen?
     
          The slippery point is an inherent part of the financial market. Whether you are buying and selling stocks, futures, goods, or foreign exchange, you will encounter slippery points. When you ask for a market order, your order will be transferred to the real financial market. When the order is entered, the market price may have changed, so when your order is done, it may be a new price. When the market fluctuates sharply, the sliding point may increase. So when you deal outside the normal market conditions (such as non-agricultural data), pay special attention to this.
          In the event of a sharp fluctuation in the market, once the stop loss price is touched, the system may deal with a market price rather than the stop price you set. Therefore, we do not guarantee that your order will be traded at the price you set at the stop price under special quotations.
     
          14. what is the difference?
     
          In exchange, you will see a quote on both sides (ask), by the purchase price and the selling price (bid). You can buy the base currency price represents the price (and sell non monetary base); price represents you can sell the base currency (at the same time the price to buy the non monetary base). The difference between the purchase price and the selling price spreads and spreads profit through the sale of dealers.
     
     
          Contact us
     
          Chengdu General Corporation
     
          Address: No. 86, people south road, Qingyang District, Chengdu
     
          Zip code: 610000
     
          Mailbox: 352060051@QQ.COM