书上说:shift the entire spread up to increase the likelihood of buying the base currency, or down to increase the likelihood of selling base.
for example, a dealer who changes her bid-ask in EUR:USD from 1.3 - 1.33 to 1.29 - 1.32, would expecte to buy less euros and to sell more euros, which would decrease her inventory position in euros.
我不明白啊,哪位师兄师姐给我解释一下呢?谢谢! |