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Pull Request | PR 提交
📝 Description | 描述
English: | **中文:
主要优化点:
强化风险控制框架 明确单笔风险≤2%,总风险≤6%
添加连续亏损后的仓位调整规则
设置单日和每周最大亏损限制
提高开仓标准 要求至少3个技术指标支持
必须有多时间框架趋势确认
入场时机要求更具体
完善决策流程 增加市场环境评估环节
明确风险回报比计算要求
添加资金保护检查点
细化行为准则 明确等待最佳机会的重要性
强调分批止盈和严格止损
添加情绪控制具体方法
增强绩效反馈机制 不同夏普比率区间的具体行动指南
亏损状态下的仓位控制要求
盈利状态下的纪律保持提醒
这个优化版本更加注重风险控制和稳健性,同时保持了交易的专业性和灵活性。**
🎯 Type of Change | 变更类型
🔗 Related Issues | 相关 Issue
📋 Changes Made | 具体变更
English: | 中文:
🧪 Testing | 测试
✅ Checklist | 检查清单
Code Quality | 代码质量
Documentation | 文档
Git
devbranch | 已 rebase 到最新dev分支📚 Additional Notes | 补充说明
English: | 中文:
By submitting this PR, I confirm | 提交此 PR,我确认:
🌟 Thank you for your contribution! | 感谢你的贡献!