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How to set the futures condition sheet?
An example specifically illustrates how to set the cloud condition list of a portable line:

1, log in to Wenhua Finance Portable Bank, log in to Wenhua Finance Portable Bank, futures account, Shenzhen, and Shenzhen Business Department of CITIC Jiantou Futures. If you haven't downloaded the portable banking software, or don't know how to use it, please refer to the download address and usage of the futures mobile phone trading software.

2. After opening the main menu, click the cloud condition list: open the cloud condition list menu of Wenhua Finance, Shenzhen Futures Account and CITIC Jiantou Futures Shenzhen Sales Department.

3. In the cloud condition list window, click the "+"at the top right to add a cloud condition list: add a cloud condition list, futures account, Shenzhen, and CITIC Jiantou Futures Shenzhen Sales Department.

4. Set effective conditions and delegated documents after the conditions become effective in Add Cloud Conditions. Set the conditions to add cloud, futures account, Shenzhen and CITIC Jiantou Futures Shenzhen Sales Department.

Note that this step is the most critical step. Please be sure to carefully confirm the price, buying and selling direction, opening and closing positions and validity period. Take the setting in the figure as an example. This setting means that when the contract price of M 1505 is greater than 3000, 20 open contracts are bought with 300 1, which is valid on the same day.

5. After the setting is completed, you can see the list of cloud conditions just set in the Untrigged list, and check the relevant information carefully. List of Cloud Conditions of Shenzhen Futures Account of CITIC Jiantou Futures Shenzhen Business Department

6. If the set condition list is found to be wrong, or the cloud condition list needs to be modified due to market changes, the cloud condition list needs to be deleted and reset. Delete method: click the condition sheet, and then click the delete button that pops up at the bottom right to confirm deletion.

7. After deletion, the cloud condition list is empty. You can add the cloud condition list again according to the fourth step. After deleting the cloud condition list, the list is empty. Shenzhen Futures Account and CITIC Jiantou Futures Shenzhen Sales Department.

8. If the cloud condition is triggered, it will be displayed in the trigger list. The cloud condition list has been triggered;

The following two points are very important, please note:

1, the condition sheet server cannot guarantee that the entrustment sheet can be closed. In other words, even if you see that the cloud condition list has been triggered and the order has been sent to the exchange server, the order may not be closed because of the rapid price change. So don't treat the trigger of cloud condition sheet as the transaction of entrustment sheet.

2. After setting up a permanent effective bill, please be sure to manually log in and confirm the bill every day. Many people will ignore this, especially long-term investors, who set up a permanent condition list and then go fishing. A few days later, when they came back, they found that the cloud condition list had been triggered, but the consignment list had not been closed, and the market had not changed much when the condition list was triggered. There shouldn't be a case where the consignment order can't be closed, so they are very confused.

In fact, the reason why the consignment order cannot be closed is not the cloud condition order, but because the futures are settled daily, and the futures company will report the settlement order after the daily closing, which needs investors' confirmation. If the investor does not confirm the settlement statement, it is deemed that he does not accept the settlement contents of the settlement statement and cannot entrust the transaction. If a permanent condition sheet is set and a consignment sheet is issued after the condition sheet is triggered, the consignment sheet will be rejected by the server of the futures company and cannot enter the exchange at all, so the transaction must not be carried out.