Dosto, kuch log is ko martingale kehtay hain, aur kuch log kuch aur, may history may nahi parna chahta, lakin may ap logo ko yeh batana chahta ho keh jo strategy may ap ko bata raha ho wo asaan to hay lakin risky bohat hay, may ap ko is ki details batata ho.
Is strategy may ap kartay kuch is tarha hain keh koi bhi aik pair lay laytay hain, jis par ap ko lagta hay keh fluctuation bohat ziada hoti hay, ap us pair par thora sa dekhtay hain aur phir aik choti volume ki lot open kartay hain, agar market favor may chali jaye to profits collect kartay hain aur trade close, lakin agar market against chalnay lagay to ap apni lot k size ko double kar daytay hain, aur market k sath chal partay hain, Misal k tor par, ap Eur/usd lay lain, market may ap nay dekha k market oper ja rahi hay, ap nay 0.01 ki buy ki trade laga li, ab market thora bohat fluctuate hui aur neechay janay lagi, ab ap nay kia karna hay, ap nay 0.02 ki sell ki trade laga li, ab agar market neechay he jati rahi to ap ki 0.01 ka loss bhi cover ho jaye ga aur 0.01 ki sell ka profit bhi ajaye ga, lakin agar market nay yaha par bhi dhoka day diya aur again fluctuate kar k oper janay lagi to phir ap nay 0.03 ki buy ki trade lagani hay, aur market ka wait karna hay, isi tarha say yeh kaam chalta rahay ga, jab tak keh market koi aik trend lambay faslay k lye pakar nahi layti, lakin risky is tarha say hay keh jo bhi trade ap kholo gay to broker margin to lay ga he, aur spread ka loss bhe hoga, aur sath may dono trades k darmyan ka minus bhe to calculate hoga, is may risky pehlu yeh hay keh agar market sideways he rahi aur ap ko trend ka pata na chal saka to ap ka account blow up bhe ho sakta hay equity k na honay ki waja say.
Yeh strategy ap us waqt use karna jab market ki volatility uncertain na ho, aur apna mind bana layna k ap loss ko afford kar saktay ho.
Is strategy may ap kartay kuch is tarha hain keh koi bhi aik pair lay laytay hain, jis par ap ko lagta hay keh fluctuation bohat ziada hoti hay, ap us pair par thora sa dekhtay hain aur phir aik choti volume ki lot open kartay hain, agar market favor may chali jaye to profits collect kartay hain aur trade close, lakin agar market against chalnay lagay to ap apni lot k size ko double kar daytay hain, aur market k sath chal partay hain, Misal k tor par, ap Eur/usd lay lain, market may ap nay dekha k market oper ja rahi hay, ap nay 0.01 ki buy ki trade laga li, ab market thora bohat fluctuate hui aur neechay janay lagi, ab ap nay kia karna hay, ap nay 0.02 ki sell ki trade laga li, ab agar market neechay he jati rahi to ap ki 0.01 ka loss bhi cover ho jaye ga aur 0.01 ki sell ka profit bhi ajaye ga, lakin agar market nay yaha par bhi dhoka day diya aur again fluctuate kar k oper janay lagi to phir ap nay 0.03 ki buy ki trade lagani hay, aur market ka wait karna hay, isi tarha say yeh kaam chalta rahay ga, jab tak keh market koi aik trend lambay faslay k lye pakar nahi layti, lakin risky is tarha say hay keh jo bhi trade ap kholo gay to broker margin to lay ga he, aur spread ka loss bhe hoga, aur sath may dono trades k darmyan ka minus bhe to calculate hoga, is may risky pehlu yeh hay keh agar market sideways he rahi aur ap ko trend ka pata na chal saka to ap ka account blow up bhe ho sakta hay equity k na honay ki waja say.
Yeh strategy ap us waqt use karna jab market ki volatility uncertain na ho, aur apna mind bana layna k ap loss ko afford kar saktay ho.
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