第 10 课 / 共 10 课4:055 出处
第 4 级复习与测试

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教育内容,不构成投资建议。Nour 讲解市场如何运作,从不告诉你该买什么或卖什么。
本课的完整中文翻译即将上线,你现在看到的是英文版。
Level 4 recap: risk 1–2% of your current balance per trade; size = risk ÷ (stop pips × pip value); use realistic risk:reward targets; place stops where the idea fails and never widen them; know margin level, margin call and stop out; judge methods by expectancy, not win rate; write a plan, keep a journal, and manage fear, greed, revenge trading and overtrading with written rules.
- 10 questions · 80% earns the Level 4 certificate.
- Next: Level 5 — practical application.
出处
本课中的每个事实都有以下出处支撑。
- 1.CME Group Education — The 2% Rule1–2% risk convention; arbitrary number
- 2.CME Group Education — Controlling RiskRecovery math; fixed % shrinks size
- 3.SEC Investor.gov — Investor Bulletin: Stop, Stop-Limit and Trailing Stop OrdersStop orders become market orders
- 4.MetaQuotes — MT5 Help: Executing Trades (Trade tab terms)Margin level = Equity / Margin × 100
- 5.ESMA (2018) — ESMA agrees to prohibit binary options and restrict CFDs50% margin close-out; 74–89% retail CFD accounts lose; negative balance protection
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