基础教程-参数设置(专业模式)
Basic curriculum - Parameter Settings (Professional Mode)
一
做单区间
for single-space
用户可根据自身经验,自定义设置该品种的做单区间,当价格低于或者高于所设的区间时,则停止建仓。
Depending on the user's experience, the user can customize the variety's use of single compartments and cease to build warehouses when prices are lower or higher than those established.
注意:同个品种,设置不同的做单区间,预览策略显示的具体参数也将不同。
N.B. The same variety, with different one-time slots, will also show different parameters for preview strategies.
举例
Example:
BTC-USDT-多,设置的区间是20000-50000,当价格低于20000 USDT或高于50000 USDT时,机器人将停止建仓。
BTC-USDT-Multiple, with a range of 2000-5000, robots will stop siloing when the price is less than 20,000 USDDT or more than 50,000 USDDT.
二
超出区间
beyond
此处可设置,当价格超出所设区间时,具体的执行方案,即【清仓卖出】或【只卖不买】。
Here, you can set up a specific implementation programme, i.e., [sale out of stock] or [sale out of sale only] when the price exceeds the area.
建议勾选【只卖不买】。
Recommended ticking [sale and not buy only].
1.清仓卖出
1. Sold out of stock
不考虑当前策略的盈亏状态(即使处于浮亏状态),平仓所有持仓订单。
Without taking into account the current state of profit and loss of the strategy, even if in a state of float, all warehouse orders are stubble.
2.只卖不买
2. .
停止继续开仓,只监控并执行平仓。
Stop opening and monitor and execute the silos only.
实时监控价格波动,当价格回到区间内时,恢复监控并执行正常的开、平仓。
Real-time monitoring of price fluctuations is carried out, and when prices return to the zone, monitoring is resumed and normal openings and silos are implemented.
三
预算资金
完成一组策略的本金预算。
To complete the principal budget of a set of strategies.
注意:设置预算资金时,请结合账户余额合理填写,为了避免保证金不足导致爆仓的情况,请勿设置超过账户余额的预算资金数值。
Note: When establishing budgetary funds, please make reasonable entries in conjunction with account balances so as not to create the value of budgetary funds in excess of account balances in order to avoid a situation where the deposit is insufficient to lead to an explosion.
四
4
策略类型
strategy type
所有策略类型
All strategy types
在策略快捷下拉框中,共有8种默认策略可选,
There are eight default strategies that can be selected in the strategy shortcut frame.
分别为:倍投、倍投Plus、三倍、平方、斐波那契、卢卡斯+、平推、递增。
They are: double, double, triple, square, Fibonacci, Lucas+, flat, incremental.
策略类型区别
strategy type difference
各策略类型,区别主要在于单数、张数、建仓间隔、止盈设置、所需本金等参数。
Different types of strategy are mainly based on parameters such as singular numbers, lengths, silo spacing, surplus-free settings, required principal, etc.
不同策略的做单频率、盈利能力、抗风险能力不同,请根据自身风险承受能力,选择合理的策略类型。建议选择平推型策略,当预备资金充足时,可使用倍投、递增型。
Different strategies have different frequency, profitability, and risk resistance. Please select a reasonable type of strategy according to their own risk tolerance.
五
five >
策略列表
strategy list
1.增加/减少单数
点击【+】按钮,可增加策略单数,
Click on the [+] button to add a policy singular,
左键点击1次,增加1单;
Left click on one, add one;
右键点击1次,增加5单。
Right clicks one time, plus five.
点击【-】按钮,可减少策略单数,
Click on the [-] button to reduce the policy singular,
左键点击1次,减少1单;
Left clicks one time, reducing by one;
右键点击1次,减少5单。
Right clicks one time, reducing by five.
2.批量设置
2. Bulk settings
单击列表表头文字,可对相关参数进行批量设置。
Click the top text of the list to set a batch of relevant parameters.
如:买入张数、自定义间隔、追踪建仓比例、整体止盈比例、追踪止盈回降比例、网格止盈比例、网格追踪回降比例等。
e.g. purchase of loads, custom spacing, tracking of warehouse ratios, overall stop ratio, track-out ratio, grid stop-down ratio, grid-tracking rate, etc.
3.列表字段
3. List field
买入张数
买入张数指的是开仓的成交量,合约面值指的是一张合约所代表的价值。 The purchase number refers to the turnover of a warehouse, and the contract face value refers to the value represented by a contract. 各品种的合约面值大小不同,币本位和U本位的合约面值也不同。 The contractual values of the various species vary in size, as do the contractual values of the currency and the U-place. 举例 Example: BTC-USDT,一张合约的面值是 0.01 个BTC; BTC-USDT, one contract with a face value of 0.01 BTC; BTC-USD,一张合约的面值是100 USD。 BTC-USD, a contract with a face value of 100 USDD. 自定义间隔 Custom interval 机器人根据大数据分析,结合人工智能算法,自动计算出适用于当前策略的百分比间隔数据。 On the basis of big data analysis, robots automatically calculate the percentage spacing data applicable to the current strategy in conjunction with artificial intelligence algorithms. 用户也可以根据自身需求,自定义百分比间隔。 Users can also customize the percentage interval according to their needs. 持仓过程中,大数据间隔不会变化。当一组策略结束,开启新一组策略时,机器人将重新计算大数据间隔。 Large data intervals do not change during warehousing. Robots recalculate large data intervals when a set of strategies is completed and a new set of strategies is activated. 举例 Example: BTC-USDT-多,50000 USDT进场时,自定义间隔1%对应的价差是50000×1%=500。 BTC-USDT - More than 50,000 USDTs entered, the price difference of 1% of the custom interval was 50,000 x 1% = 500. 追踪建仓比例 track silo ratio 追踪建仓的过程中,整体收益比达到了最低值后出现上调, In tracking the construction of the warehouse, the overall yield ratio is adjusted upwards after the lowest value has been achieved, 当上调至【整体收益比最低值+追踪建仓上调比例】时,追踪结束,执行建仓。 When moving up to [total yield over minimum value + track warehouse upscale], follow-up is completed and warehouse implementation is carried out. 注意:追踪建仓参数设置为0时,表示不启用该功能 。 Note: Track construction parameter set at 0.00. This function is not enabled. 举例 Example: BTC-USDT-多,整体均价为 50000 USDT,追踪建仓比例为 0.5 %, BTC-USDT-Multiple, with an overall average price of 50000 USDT, tracking the warehouse rate at 0.5 %, 在 45000 USDT 时,触发了追踪建仓; The tracking warehouse was triggered at 45000 USDT; 追踪至最低价格 44000 USDT 时,价格出现上调, When tracking down to the lowest price of 44,000 USDT, the price went up, 当上调至 44000+(50000×0.5%)=44250 USDT 时,追踪结束,执行建仓。 When moving up to 44,000+(50,000 x 0.5%) = 44250 USDT, the tracking is completed and the warehouse is implemented. 整体止盈比例 整体策略盈利达到所设的百分比时, When the overall strategy is profited by the percentage set, 若未启用追踪止盈,则执行整体止盈。 If the tracking surplus is not enabled, the overall closure will be implemented. 若已启用追踪止盈,则触发整体追踪止盈,追踪结束后执行整体止盈。 If tracking is enabled, the overall tracking is triggered and after tracking is completed, the overall tracking is implemented. 举例 Example: BTC-USDT-多,整体均价为 50000 USDT,整体止盈比例为 2.5 %, BTC-USDT-Multiple, with an overall average price of 50000 USDT, with an overall excess of 2.5 %, 当价格上涨至 50000 ×(1+2.5%)=51250 时,执行整体止盈,或触发整体追踪止盈。 When the price rises to 50000 x (1+2.5%) = 51250, the overall excess of execution or triggers the overall surplus of tracking. 追踪止盈回降比例 Track Backfall Rate 整体追踪止盈的过程中,整体收益比达到了最高值后出现回降, During the overall tracking of the surplus, the overall yield ratio fell back when it reached its highest value, 当回降至【整体收益比最高值-整体回降比例】时,追踪结束,执行止盈。 When the return falls to the [highest overall yield - the overall rate of decline], the tracking ends and the execution stops. 举例 Example: BTC-USDT-多,整体均价为 50000 USDT,整体回降比例为 0.5 %, BTC-USDT-Multiple, with an overall average price of 50000 USDT, with an overall decline of 0.5 per cent, 在价格 51250 USDT 时,触发了整体追踪止盈。 At the price of 51250 USDT, the overall tracking stop-over was triggered. ? 追踪至最高价格 55000 USDT时,价格出现回降, When the maximum price of 55000 USDT is tracked down, the price falls back. 当回降至 55000 -(50000 × 0.5%)=54750 USDT时,追踪结束,执行止盈。 When the return falls to 5500 - (5000 x 0.5%) = 547550 USDT, the tracking is completed and the execution is terminated. 网格止盈比例 尾单:指当前策略持仓订单中的最后一个订单。 End list: refers to the last order in the warehouse order in the current strategy. 尾单盈利达到所设的百分比时, When the end of the list reaches the established percentage of profit, 若未启用追踪止盈,则执行网格止盈; (a) Execute the grid if the tracking surplus is not enabled; 若已启用追踪止盈,则触发网格追踪止盈,追踪结束后,执行网格止盈。 If tracking is enabled, the grid is triggered and, when tracking is completed, the grid is executed. 注意:网格止盈参数设置为99时,表示不启用网格止盈功能。 Note: When the grid excess parameter is set at 99, it means that the grid excess function is not enabled. 举例 Example: BTC-USDT-多,尾单均价为 45000 USDT,网格止盈比例为 3.5 %, BTC-USDT-Multiple with an average end-of-service price of 45,000 USDT, grid parking ratio of 3.5 %, 当价格上涨至 45000 ×(1+3.5%)=46575 时,执行网格止盈,或触发网格追踪止盈。 When the price rises to 45,000 x (1+3.5%) = 46575, the grid stops or triggers grid tracking. 网格追踪止盈回降比例 网格追踪止盈的过程中,尾单收益比达到了最高值后出现回降, During grid-tracking, the end sheet returns when the maximum value is reached. 当回降至【尾单收益比最高值-网格回降比例】时,追踪结束,执行止盈。 When the return falls to the [highest yield on the end sheet - grid downs ratio], the tracking is completed and the execution stops. 举例 Example: BTC-USDT-多,尾单均价为 45000 USDT,网格回降比例为 0.5 %, BTC-USDT-Multiple with an average end-of-service price of 45000 USDT, grid regression 0.5%, 在价格 46350 USDT 时,触发了网格追踪止盈。 At the price of 46350 USDT, grid tracking was triggered. ? 追踪至最高价格 48000 USDT时,价格出现回降, When the maximum price is tracked to 48000 USDT, the price falls back. 当回降至 48000 -(45000 × 0.5%)=47775 USDT时,追踪结束,执行止盈。 When the return falls to 48000 - (45000 x 0.5%) = 47775 USDT, the tracking is completed and the execution is terminated. 统计数据-实际建仓价 是各订单的实际成交价,此处仅显示已成交订单的建仓价,未成交订单则显示0。 The actual value of the purchase orders is shown here only as the price of the purchase orders entered into, while the outstanding purchase orders are shown as zero. 预计建仓价 Projected warehouse price 开启策略后, After the strategy was set in motion, 当价格达到【预计建仓价 】时, When the price is [expected], the price is higher than the price at which it is to be built. 若未启用追踪建仓,则执行建仓; Implementation of a tracking warehouse if it has not been activated; 若已启用追踪建仓,则触发追踪建仓,追踪结束后,执行建仓。 If a tracking warehouse has been activated, it triggers a tracking warehouse, which will be implemented after the tracking has been completed. 注意:预计建仓价会受到建仓间隔比例、追踪建仓、智能调整等因素影响。 Note: The construction price is expected to be influenced by factors such as the rate of spacing, tracking of warehousing, and intelligent adjustment. 浮动盈亏(当前) Floating surplus or loss (current) 当前持仓订单的盈亏数据。 Data on the current surplus/loss on warehouse orders. 统计数据-保证金 各订单预计占用的保证金金额。 The amount of the deposit expected to be encumbered by each order. 统计数据-订单浮亏(策略结束) Statistics - Order Float (Text End)
当策略最后一单建仓时,各单子的浮亏数据。
When the last silo of the strategy is built, the data on the losses of the individual sheets are broken down.
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