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我仔细研究了一下投资管家,我认为现在的这种交易模式对于资金经理就是杠杆+杠杆,压力会很大,比如20万额度,4人,杠杆就是原有的4倍,200倍的就是800倍,这会让资金经理如履薄冰,哪怕原有策略只是10%的回撤,都会引起资金经理40%的亏损,这得需要怎样的交易系统能够承担这样大的风险,除非运气好,没有在封闭阶段遇到回撤,这不符合投资管家的初衷吧?

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