交易术语表

理解常用交易术语,掌握其简洁明了的含义。本词汇表旨在帮助您学习交易语言,让您在探索市场时更加自信。.

清晰易懂的含义

本部分以浅显易懂的方式解释交易术语,帮助您快速理解重要概念,避免混淆。无论您是新手还是经验丰富的交易者,都能从中受益,提升交易知识。.

常用交易条款

探索重要的交易术语及其含义。这些解释简洁易懂,帮助您自信地学习交易术语。.

附属公司

推广外汇经纪商服务并因给该经纪商带来新客户或交易者而赚取佣金的个人、公司或合作伙伴。.

交易者可以买入货币对的价格,由于点差的存在,它总是略高于买入价。.

一种利用市场间价格差异进行交易的策略,即在一个市场低买入,在另一个市场高卖出。.

由于经济实力或市场需求,一种货币相对于另一种货币的价值上升。.

您的交易账户中可用的资金总额,不包括未平仓交易,包括存款和已结算的盈亏。.

外汇市场中任何可以交易的金融工具,例如货币、商品或指数。.

获得监管机构许可进行货币交易的金融机构或银行。.

一种使用自动化系统或机器人,根据预定义的规则和策略执行交易的交易方法。.

涵盖东京和悉尼等市场的主要外汇交易时段,这些市场通常以波动性较低而闻名。.

通过增持亏损仓位来降低平均入场价格。.

用于衡量波动性的技术指标。.

买价与卖价之间的差价。.

计算多笔交易的平均价格,帮助交易者了解他们的整体入场位置。.

订单会以当前市场价格立即执行,确保交易快速完成。.

平衡

交易账户中的总资金(不包括未平仓头寸),在平仓或进行存款和取款后更新。.

货币对中的第一个货币代表与第二个货币进行交易的价值。.

市场因负面情绪或经济因素导致价格持续下跌的状况。.

由于强劲的需求和积极的经济前景,市场价格稳步上涨。.

交易者可以卖出货币对的价格,它总是低于卖价。.

一家为交易者提供外汇市场准入、交易平台和工具的公司。.

价格突破既定的支撑位或阻力位,通常预示着新趋势的到来。.

在进行实盘交易之前,使用历史数据测试交易策略以评估其有效性的过程。.

一种利用价格上下轨来衡量市场波动性的技术指标。.

挂单价格低于当前价格,当市场价格跌至更低水平时买入。.

高于当前价格的挂单,用于在市场继续上涨时买入。.

市场持续下跌表明抛售压力增大。.

烛台

一种显示开盘价、最高价、最低价和收盘价的图表类型,有助于分析市场行为。.

一种允许交易者在不拥有标的资产的情况下对价格走势进行投机的交易工具。.

经纪商为执行交易而收取的费用,该费用可能取决于交易规模或账户类型。. 

两种货币相互交易的报价,其中一种货币被买入,另一种货币被卖出。.

负责管理一国货币和货币政策的机构,其对外汇市场产生影响。.

用于技术分析的价格走势可视化表示。.

交易日结束时货币对的最终价格,用于分析和趋势确认。.

在大趋势中出现的暂时性价格走势逆转,被认为是正常的市场行为。.

不包含美元的货币对,通常具有不同的波动性特征。.

可用于交易的总资金,包括存款和累计盈亏。.

一种利用利率差异获利的策略,即买入高收益货币,卖出低收益货币。.

市场价格在潜在突破前会在狭窄范围内波动的现象。.

Day Trading

Day Trading is a trading style where traders open and close positions within the same trading day. It helps traders avoid overnight risks and focus on short-term market movements.

A Demo Account is a practice trading account that uses virtual money instead of real funds. It allows beginners to learn Forex trading without financial risk.

Devaluation is the official reduction in a country’s currency value by its government or central bank. It can affect imports, exports, and overall economic stability.

Drawdown refers to the decrease in a trading account balance from its highest point. Traders use drawdown to measure risk and trading performance.

Divergence happens when price movement and technical indicators move in opposite directions. It often signals a possible market reversal.

The Dollar Index measures the strength of the US Dollar against major world currencies. Forex traders use it to analyze USD market trends.

A Double Top is a bearish chart pattern formed after price fails to break resistance twice. It may indicate a downward market reversal.

A Double Bottom is a bullish chart pattern formed when price tests support twice. It usually signals a potential upward trend.

A Direct Quote shows how much local currency is needed to buy one unit of foreign currency. It is commonly used in exchange rate calculations.

A Derivative is a financial instrument whose value depends on another asset like currencies or commodities. Forex CFDs are common examples of derivatives.

Depth of Market is a tool that displays pending buy and sell orders at different price levels. It helps traders understand market liquidity.

A Daily Chart is a price chart where each candle represents one trading day. Swing traders commonly use daily charts for analysis.

经济日历

An Economic Calendar is a schedule that shows important financial events, economic reports, and announcements that can affect the Forex market. Traders use it to track events like interest rate decisions, inflation reports, and employment data before placing trades.

Equity refers to the total value of a trader’s trading account after adding profits or subtracting losses from open positions. It changes continuously as the market moves and reflects the real-time account balance.

An Exchange Rate is the value of one currency compared to another currency. For example, in the EUR/USD pair, the exchange rate shows how many US Dollars are needed to buy one Euro.

An Entry Point is the specific price level where a trader decides to open a buy or sell trade in the Forex market. Choosing the right entry point is important for maximizing profits and minimizing risks.

Execution in Forex trading refers to the process of completing a trade order in the market. It happens when a broker successfully buys or sells a currency pair at the requested price or the nearest available price.

An Expiry Date is the final date on which a Forex contract or financial instrument remains valid before it closes automatically. It is commonly used in Forex futures and options trading.

An Exotic Pair is a Forex currency pair that includes one major currency and one currency from a smaller or emerging economy. Examples include USD/TRY or EUR/ZAR.

Exposure refers to the amount of risk a trader has in the Forex market at a specific time. It shows how much money can be gained or lost based on open trading positions.

The ECB, or European Central Bank, is the financial institution responsible for managing monetary policy in the Eurozone. Its decisions greatly influence the value of the Euro in the Forex market.

Easing is a monetary policy action taken by central banks to increase money supply and encourage economic growth. It often involves lowering interest rates or introducing stimulus programs.

Elliott Wave Theory is a technical analysis method that studies repeating wave patterns in financial markets. It suggests that market prices move in predictable cycles influenced by investor psychology.

An Electronic Communication Network, commonly known as ECN, is a trading system that directly connects traders with liquidity providers like banks and financial institutions. It allows faster and more transparent trade execution.

Fibonacci Retracement

Fibonacci Retracement is a popular technical analysis tool used in Forex trading to identify possible support and resistance levels. Traders use Fibonacci percentages like 38.2%, 50%, and 61.8% to predict potential market reversals.

Forex, also known as Foreign Exchange, is the global market where currencies are bought and sold. It is the largest financial market in the world, operating 24 hours a day across different countries.

Fundamental Analysis is the study of economic, political, and financial factors that affect currency prices. Traders analyze interest rates, inflation, employment reports, and economic news to predict market movements.

A Floating Spread is a spread that changes according to market conditions and liquidity. During stable market periods, spreads may remain low, while high volatility can cause spreads to widen.

A Fixed Spread is a spread that remains constant regardless of market volatility. Brokers offering fixed spreads provide predictable trading costs for traders.

Free Margin is the amount of money available in a trading account for opening new positions. It is calculated after subtracting the used margin from the account equity.

A Financial Instrument is any tradable asset in the financial markets, including currency pairs, commodities, stocks, and indices. In Forex trading, currency pairs are considered financial instruments.

The Federal Reserve, commonly called the Fed, is the central banking system of the United States. Its monetary policy decisions strongly influence the US Dollar and global Forex markets.

A Forex Broker is a company or platform that provides traders access to the Forex market. Brokers offer trading platforms, leverage, charts, and tools required for currency trading.

A Forward Contract is an agreement between two parties to buy or sell a currency at a fixed price on a future date. These contracts are commonly used to reduce currency exchange risks.

Fill Rate refers to the percentage of trade orders successfully executed at the requested price. A high fill rate indicates efficient trade execution by the broker or trading platform.

A Flat Market is a market condition where currency prices move within a narrow range without a clear upward or downward trend. It is also known as a sideways market.

Gap

A Gap in Forex trading occurs when the market price suddenly moves up or down without trading at the prices in between. Gaps usually happen after major economic news, political events, or when the market reopens after weekends.

The Gold Standard was a monetary system where a country’s currency value was directly linked to gold. Under this system, governments agreed to convert paper money into a fixed amount of gold.

Gross Domestic Product, commonly known as GDP, measures the total value of goods and services produced within a country during a specific period. It is one of the most important indicators of economic health.

Good Till Cancelled, or GTC, is a type of trading order that remains active until the trader manually cancels it. Unlike daily orders, GTC orders do not expire at the end of the trading day.

Greenback is a common nickname for the United States Dollar (USD). The term originated from the green color used on US paper currency.

Growth Rate refers to the percentage increase in a country’s economic performance over a certain period. It is commonly measured using GDP and other economic indicators.

A Guaranteed Stop Loss is a special order that ensures a trade closes at the exact stop-loss price chosen by the trader, regardless of market volatility or gaps.

Geopolitical Risk refers to the possibility of market instability caused by political conflicts, wars, elections, or international tensions. These events can strongly impact currency prices and investor confidence.

A Gold Pair in Forex trading usually refers to XAU/USD, where gold is traded against the US Dollar. It is one of the most popular instruments among Forex and commodity traders.

Grid Trading is a trading strategy where traders place multiple buy and sell orders at different price levels to profit from market fluctuations. The strategy works well in volatile or ranging markets.

Gain refers to the profit earned from a successful Forex trade or investment. It represents the positive difference between the buying price and selling price of a currency pair.

A Government Bond is a debt security issued by a government to raise funds from investors. Bond yields often influence currency strength and Forex market movements.

工作原理

只需三步即可开始交易

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