How it works
Trades from the master account are mirrored to your account, typically with a configurable ratio.
Risk & Drawdown
Any strategy can draw down. What matters is understanding the risk and sizing capital appropriately.
Suitability
Copy trading is not a “guaranteed profit tool.” Fit depends on volatility tolerance and realistic expectations.
1) What is forex copy trading?
When the master account opens/closes/adjusts positions, your account mirrors those actions based on your selected ratio. The key idea is delegating execution to a strategy, while fully understanding the risks and variability.
2) Who is it for?
- People with forex experience who can’t watch charts all day
- Those who prefer rules-based participation over emotional trading
- 願意理解Risk & Drawdown,不以短期暴利為唯一目標的人
If you require guaranteed profits or zero drawdown, copy trading is usually not a fit.
3) Common risks
- Market volatility:Fast moves can increase drawdown and slippage.
- Regime mismatch:Performance varies across market regimes.
- Configuration & sizing:Too much leverage or sizing amplifies volatility and losses.
4) Why risk control matters more than returns
No strategy can guarantee profits, but risk control can cap the cost of being wrong. 在 MirrorFX 的理念中,風險控管是策略設計的核心,而非事後補救: Define tolerable risk boundaries first, then pursue a sustainable pace.
若你想更了解我們如何看待倉位、回撤與策略節奏,建議閱讀 我們如何進行風險控管。
Mini FAQ
Q:跟單一定會跟到完全一樣的價格嗎?
不一定。點差、滑點、延遲與商品規格差異都可能造成進出場價格略有不同。
Q:我該先看Performance還是先看風控?
建議順序:概念 → 風控 → Performance → 小額測試。先理解風險,才不會建立錯誤期待。
Q:可以隨時停止跟單嗎?
帳戶操作權通常在你手上,可依自身情況調整或停止;但建議先理解當下持倉風險再操作。
Want the full FAQ? Go to FAQ
Next: understand the concept and risk first
如果你想更深入了解「Risk」與「參與前的評估方式」,建議閱讀以下兩頁:
聲明:本頁內容僅作教育與研究用途,不構成投資建議。交易涉及風險,過去Performance不代表未來結果。