何謂差價合約
差價合約產品
差價合約交易範例
在百滙進行價差合約交易
以下的例子將有助於您了解如何進行外匯差價合約交易以及如何計算盈利和虧損。以下的例子也將幫助您體會槓桿作用對您的外匯差價合約交易結果的影響,並讓您清楚地看到外匯差價合約交易和傳統商品交易之間成本的不同。
歐元/美元匯率的報價是1.4236/39。這個報價代表了歐元對美元的賣出價/買入價的差價。1.4239是買入價,表示您可以用這個價格購買歐元(或買入歐元賣出美元)。1.4236是賣出價,表示您可以按這個價格賣出歐元並買入美元。
開倉頭寸
您相信歐元對美元將增強,並決定以1.4239(買入價)買入或“做多”100,000歐元。
| 報價 (賣出/買入) | 1.4236/39 |
| 買入價格 | 1.4239 |
| 交易量 | 100,000歐元 |
| 初始支出 (百滙保証金要求) | $1,000美元 |
| 報價 (賣出/買入) | 1.4349/52 |
| 賣出價格 | 1.4349 |
| 交易量 | 100,000歐元 |
| 利潤/虧損 | $100美元利潤 |
| 步驟 1 | 買/賣 | |
| 步驟 2 | 選擇產品 | |
| 步驟 3 | 現價 | $ 0.00 |
| 步驟 4 | 合約大小 | $ |
| 步驟 5 | 平倉價格 | $ |
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您的盈虧
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*免責聲明: 所提供的現價價格和點差與實際價格和點差將有所出入,所展示的盈虧計算僅供客戶參考
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