Warning Terkait Pemilu Yunani 17 Juni 2012
Terkait pelaksanaan Pemilu Yunani 17 Juni 2012, beberapa broker forex sangat merekomendasikan supaya client menghindari open posisi yang berlebihan pada penutupan market hari ini Jumat 15 Juni 2012. Client disarankan untuk memperhatikan margin levelnya bila masih memiliki open position hingga penutupan hari ini, karena di proyeksi apapun hasil pemilu Yunani nanti akan sangat berpengaruh bahkan kemungkinan terjadi GAP besar pada hari Senin minggu depan.
This Sunday, on 17 June 2012, the Greek voters will yet again go to the polls, trying to elect a new parliament that would be able to form a functional government. Essentially, it’s a vote between two options: Greece staying in the eurozone, or exiting. Whatever the outcome, please be aware that we may see big gaps when the Forex markets open on Sunday night, followed by high levels of volatility.
High volatility can create trading opportunities. This is not only expected to affect the euro but also other currencies around the world, therefore it can be beneficial to keep following the markets closely. Remember, the polls open in Greece on Sunday at 4:00 GMT (5:00 BST) and close at 16:00 GMT (17:00 BST), and speculation about the outcome will begin immediately after the initial results start coming in.
High volatility also increases risks, so it’s advisable to adjust your trading strategies to compensate for the market. Please also be aware that high volatility could trigger stop orders that you may have in place. If you don’t have any stops in place, we strongly suggest you apply them to limit your potential losses. High volatility may also result in significantly wider or tighter spreads. We advise you to check your open orders and positions and take necessary precautions.
EXTREMELY HIGH VOLATILITY IS EXPECTED AND EXTREME LEVEL GAP ON PAIRS ARE POSSIBLE PRIOR TO THE MARKET OPENING ON MONDAY. HOLDING OPENED POSITIONS IN THIS WEEKEND WILL POSE A HIGHER RISK THAN USUAL AND PLEASE ENSURE YOU HAVE ADEQUATE FUNDS IN YOUR ACCOUNT TO PREVENT A MARGIN RISK LIQUIDATION OR THE POSSIBILITY OF YOUR ACCOUNT GOING NEGATIVE.
THE IMPACT OF OUR MEASUREMENT COULD BE A MARGIN RISK LIQUIDATION. TO AVOID SUCH IMPACT, PLEASE ENSURE YOU HAVE ENOUGH MARGIN (1000% MARGIN LEVEL ON 1:500 LEVERAGE, 200% MARGIN LEVEL ON 1:100 LEVERAGE OR 2000% MARGIN LEVEL ON 1:1000 LEVERAGE), OR REDUCE YOUR OPENED POSITIONS AND REOPEN THEM AT THE MARKET OPENING NEXT WEEK.
Saya tidak tahu apakah broker anda memberitahuan ini atau tidak, tetapi info tersebut sangat layak untuk di perhatikan.
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