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Trading product for HEDGE FUND FX DESK RISK MANAGEMENT 指标 Drawdown Monitor Imbalance, image 1
HEDGE FUND FX DESK RISK MANAGEMENT
指标
版本 1.0, Aug 2026
Windows 版、Mac 版
5.0
评价:1
Trading product for HEDGE FUND FX DESK RISK MANAGEMENT 指标 Drawdown Monitor Imbalance, image 2
Trading product for HEDGE FUND FX DESK RISK MANAGEMENT 指标 Drawdown Monitor Imbalance, image 3
Trading product for HEDGE FUND FX DESK RISK MANAGEMENT 指标 Drawdown Monitor Imbalance, image 4
Trading product for HEDGE FUND FX DESK RISK MANAGEMENT 指标 Drawdown Monitor Imbalance, image 5
Trading product for HEDGE FUND FX DESK RISK MANAGEMENT 指标 Drawdown Monitor Imbalance, image 6
54
销售
306
免费安装

说明

欢迎使用 FX-DESK 风险管理热力图。亲爱的交易者们,在您购买此指标后,您将不再盲目交易外汇对相关性,而是能够拥有一个根据外汇交叉相关性完美对冲的、妥善管理的持仓订单簿。

以专业外汇交易台的视角观察市场。

大多数交易者在开仓时并不了解其交易工具之间的统计关联。做多 EUR/USD 同时做空 USDX 或 USD/CHF 可能看似两笔独立交易——但这往往是同一风险的重复表达。未被识别的重叠风险敞口是投资组合过度杠杆化和“随机化”的最常见原因之一。

FX‑DESK 风险管理 消除了这种盲点。它持续计算您交易工具集合中的交叉相关性,并以清晰的颜色编码热力图呈现,同时配备实时信息面板分析您当前的持仓——让您每笔交易都有数据支持,而非凭猜测。

您将获得

🔥 实时相关性热力图

  • 外汇对及其他品种的实时交叉相关矩阵
  • 添加 您经纪商提供的任何差价合约符号 — 指数、金属、能源等。矩阵不限于外汇
  • 直观的颜色编码:绿色=正相关,红色=负相关,蓝色/青绿色=弱相关

📊 可操作信息面板

  • 根据您的持仓实时计算账户指标:余额、净值、可用保证金、未实现盈亏、挂单和总杠杆
  • 货币敞口细分 — 查看您所有持仓中真实的美元、英镑、瑞郎、澳元等敞口总和
  • 集中度和杠杆监控,配备交易台风格的操作建议(如去杠杆或调整集中度警告)
  • 监控货币对的点差状态概览

🎯 相关性交易信号

  • 自动排名 最相关的货币对(包括均值、|相关系数|、点差和风险指标)
  • 生成易读的多空信号组合(例如 做空 AUD/USD.P / 做多 GBP/CAD.P),帮助您构建对冲且统计上连贯的持仓

⚙️ 完全可定制

  • 可调节的交易工具列表、回溯设置、阈值和面板布局,以适应您的交易风格

适用人群?

  • 外汇及差价合约交易者,希望采用系统化、数据驱动的持仓选择方法
  • 自营交易商,需要有纪律、可重复的风险控制以保护账户
  • 波段交易者及对冲者,希望避免意外的双重敞口

重要性

了解两个交易工具是趋同移动还是相反方向移动,是构建平衡持仓簿的基础。FX‑DESK 实时为您提供这种认知,帮助您理解 为何市场波动,从而做出更明智、更有效对冲的交易决策。

重要信息

FX‑DESK 风险管理是一个 分析和决策支持工具。它不会自动下单,也不保证盈利。相关性数值是基于历史数据的统计估计,可能随时变化且不另行通知。外汇和差价合约交易存在重大亏损风险,可能不适合所有投资者。请始终应用合理的风险管理


摘要

AI 摘要
HEDGE FUND FX DESK RISK MANAGEMENT is an indicator designed for Forex and CFD traders seeking systematic, data-driven risk control through cross-asset correlation analysis. It provides a real-time correlation heatmap displaying statistical relationships among FX pairs and other CFD instruments such as indices, metals, and energies, with intuitive color coding to indicate positive, negative, or weak correlations.

The tool includes a live info panel that aggregates account metrics—balance, equity, free margin, open PnL, pending orders, and gross leverage—and offers a currency exposure breakdown across all open positions. It monitors concentration and leverage, providing desk-style action notes to guide risk adjustments, and presents a spread regime overview for monitored pairs.

Additionally, the product generates correlation-based trade signals by ranking top correlated pairs and suggesting long/short combinations to help structure hedged, statistically coherent positions. Users can customize the instrument list, lookback periods, thresholds, and panel layout to fit their trading style.

This analytics and decision-support tool does not execute trades automatically but aids traders in understanding market dynamics and managing overlapping exposures to build balanced, well-hedged portfolios. It is suitable for prop-firm traders, swing traders, and hedgers aiming to avoid accidental double exposure and maintain disciplined risk management.
指标配置
指标分类
统计数据
输出类型
可视化
信号
数据要求
仅 K 线
支持的信号
交叉
背离
反转
趋势强度

客户评价

5.0
评价:1
5
100 %
4
0 %
3
0 %
2
0 %
1
0 %
客户评价
August 19, 2026
A comprehensive correlation and portfolio risk dashboard with a large cross-asset heatmap, account metrics, spread monitoring, Top-N correlations, risk-adjusted sizing and actionable pair-trade signals. The full correlation matrix worked well once market data was resolved, although some cells temporarily showed “n/a” after changing chart contexts. The interface is information-dense and best suited to experienced traders or larger screens.

讨论

常见问答

Drawdown Monitor
Imbalance
Market Structure
Risk Dashboard
cTrader Store 提供的所有产品,包括交易机器人、指标和插件,均由第三方开发者提供,仅供信息参考和技术访问之用。cTrader Store 并非经纪商,不提供投资建议、个人推荐或任何未来业绩保证。

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价格

54
销售
306
免费安装