바이너리 옵션이란 무엇인가요?
바이너리 옵션이란 두가지 가능한 결과중에서 귀하가 예견하는 고정 지불금이 있는 옵션의 한 종류입니다.
바이너리 옵션 트레이딩의 장점
'네 또는 아니오'의 단순성 외에도, 바이너리 옵션 거래는 아주 유연한 특성을 지닙니다. 이러한 점은 고객님으로 하여금 다음과 같은 점들을 거래할 수 있도록 합니다.
- 모든 시장
외환, 주가지수, 상품, 그리고 더 많은 것을 포함하는 기초 시장에서 거래하세요.
- 모든 시장의 상황
업/다운, 터치/노터치, 및 인/아웃 거래 종류를 이용하여 시장 동향을 예측하세요.
- 모든 기간
10초에서 365일에 이르는 거래 기간과 함께 단기 또는 장기적인 견해를 가져보세요.
- 모든 지불금
최대 50,000달러까지 될 수 있는 지불금을 받으세요. 손실은 귀하의 초기 지분으로 제한되며 더 이상은 없습니다.
귀하께서 Binary.com을 통해서 바이너리 옵션을 거래해야 하는 이유
새로운 그리고 경험있는 트레이더들에게 이상적인 거래 조건으로 수상경력이 있는 온라인 거래 플랫폼을 즐기세요.어워드 수상 경력이 있는 거래 플랫폼
- 간단함과 직관성
이용하고 다루기 쉬운 거래 플랫폼을 즐기세요
- 빠른 접근
계좌를 개설하고 몇 분 안으로 거래를 시작하세요
- 24/7 언제든지 가능합니다.
언제든지 원할 때 거래하세요. 본 사의 변동성 지수는 주말에도 이용 가능합니다
- 특허 기술
가격 측정 기술에 특허소유자인 동시에 업계 선구자를 통해 거래하세요
- 보안 및 개인정보 보호
귀하의 개인정보, 거래, 및 자금이 항상 보호된다는 사실을 알고 자신있게 거래하세요
- 모든 시장 및 조건
상승, 하강, 횡보, 변동이 활발하지 않은, 그리고 변동시장에서 통화, 주가 지수, 상품 및 더 많은 것을 거래하세요
- 단기에서 장기에 해당하는 기간
10초에서 365일까지 기간을 선택하세요
- 뚜렷한, 그리고 벤치마킹된 가격
Receive prices that are benchmarked against interbank rates
- 투명한 위험과 잠재적 보상
Know how much you will win or lose before you purchase the contract
- 귀하의 이익을 보호하세요
Sell your long-term contracts before expiry to protect any profits you may have made or to minimise your losses
- 양방향 가격
Receive quotes for a trade and countertrade, so you always get unbiased, transparent rates
- 낮은 최저 지분
Deposit as little as USD 5 to start trading
- 귀하께서 선호하는 전략에 따라 거래하세요
"직관" 또는 기술적 또는 핵심적인 분석을 바탕으로 거래하세요
Choose from over one million possible trade variations at any time, and customise your trades according to your preferred strategy
- 확장성이 있습니다
Earn the same proportional return on stakes of all values
바이너리 옵션을 거래하는 방법
바이너리 옵션 거래는 비교적 쉽습니다. 고객님께서는 단 3단계만으로 컨트렉트를 구매하실 수 있습니다.
시장, 거래 종류, 기간, 장벽, 그리고 지불금에 대해 선택하세요.
귀하의 포지션에 기반한 즉각적인 가격을 받으세요.
계약을 구매하거나 또는 귀하의 포지션을 재정립하세요.
1단계: 귀하의 포지션을 정하세요
첫번째 단계는 귀하의 거래의 파라미터를 설정하는 것입니다. 계약에 대한 가격을 받기 위해 조정이 필요한 다섯가지의 거래 파라미터가 있습니다:
이용 가능한 4가지의 시장 중에서 선택하세요:
메이저 및 마이너 쌍과 더불어 Smart FX 지수
전세계적으로 주요한 모든 주가지수는 장외 시장으로부터 공급됩니다
금, 은, 및 석유같은 주요 상품
- 변동성 지수
시장력을 모의실행하는 우리의 상표등록된 종합 지수
3가지 종류의 거래중에서 선택하세요:
시장이 현재의 수준에서 오를지 또는 떨어질지, 또는 목표가격보다 높거나 낮은 수준으로 마감될지에 대해 예측하세요
- 터치/노 터치
시장이 목표가격을 터치할지 또는 터치하지 않을지에 대해서 예측하세요
Predict if the market will stay between or go outside two price targets
Aside from the three main trade types above, you also get Asians and Digits trade types exclusively with our Volatility Indices.
Set the length of your trade from 10 seconds to 365 days, whether you have a short-term or long-term view of the markets.
Set barrier(s) to define your position and trigger the payout you'll receive.
Choose the payout you wish to receive from correctly predicting this contract.
2단계: 가격을 확인하세요
The price of the contract is automatically calculated by our patented pricing technology based on the parameters you've defined in Step 1. Our prices are benchmarked against the interbank options market, so you always get the most competitive prices. This means that you'll always receive fair and transparent pricing, whatever your position.
When you are satisfied with the price that you receive, execute your trade immediately. With our unique platform, there's no risk of 'slippage' or gaping markets. And most importantly, there are no hidden fees. You can also sell back any long-term trades at any time to profit from favourable market conditions.
Binary.com offers the following trade types that will help you execute your market view or strategy:
There are two types of Up/Down trades:
Predict that the market will rise or fall from its current level
Predict that the market will end higher or lower than a price target
시장이 계약 기간동안의 그 어느때에 목표를 터치 또는 터치하지 않을 것인지에 대하여 예측하세요
인/아웃 트레이드에는 두 종류가 있습니다:
- Ends Between/Ends Outside
Predict that the market stops inside or outside two price targets at the end of the time period
- Stays Between/Goes Outside
Predict that the market stays inside or goes outside two price targets any time during the contract period
Predict that the market will end higher or lower than the average price.
Predict the last decimal digit of the spot price with Digits. There are three types of Digits trades:
Predict that the last digit will match or not match
Predict that the last digit is an even number or odd number after the last tick
Predict that the last digit is higher or lower
There are two types of reset trades:
Predict that the market will end up higher than either the current level or the level at a predetermined time (reset time)
Predict that the market will end up lower than either the current level or the level at a predetermined time (reset time)
At reset time, if the spot is in the opposite direction of your prediction, the barrier is reset to that spot.
Purchase High/Low Tick contracts to predict the highest or lowest tick among the next five ticks.
Please note that Asians, Digits, Reset Call/Put and High/Low Ticks are available exclusively with our Volatility Indices.
Binary options allow you to trade on a wide range of underlying markets. One of the advantages of trading binary options is that you are not buying or selling an actual asset, only a contract that determines how that asset performs over a period of time. This limits your risk and makes it easy for anyone to start trading.
Major pairs, minor pairs, and Smart FX indices.
Major worldwide stock indices sourced from the OTC market.
네가지 모든 귀금속, 그리고 에너지.
Synthetic indices that mimic market volatility.
Trade popular major and minor currency pairs, plus Smart FX indices – weighted indices that measure the value of a currency against a basket of major currencies.
There are four types of Smart FX indices that you can trade:
- AUD Index – Measures the value of the Australian Dollar against a basket of five global currencies (USD, EUR, GBP, JPY, CAD), each weighted by 20%
- EUR Index – Measures the value of the Euro against a basket of five global currencies (USD, AUD, GBP, JPY, CAD), each weighted by 20%
- GBP Index – Measures the value of the British Pound against a basket of five global currencies (USD, EUR, AUD, JPY, CAD), each weighted by 20%
- USD Index – Measures the value of the US Dollar against a basket of five global currencies (EUR, GBP, JPY, CAD, AUD), each weighted by 20%
Enjoy exciting opportunities to trade indices with the benefit of real-time charts and pricing.
Our indices are sourced from the over-the-counter (OTC) market – sources outside of the centralised exchanges. Please note that due to their OTC nature, the prices of our indices may differ from their counterparts on centralised exchanges.
We offer all four precious metals – gold, silver, palladium, and platinum – as well as energy in our list of commodities.
Binary.com's Volatility Indices are synthetic indices that mimic real-world market volatility and are available for trading 24/7. They are based on a cryptographically secure random number generator audited for fairness by an independent third party.
You can trade Volatility Indices on all three main trade types: Up/Down, Touch/No Touch, and In/Out. That's not all – Volatility Indices also give you exclusive access to two additional trade types: Asians and Digits.
변동성지수는 두가지 종류로 분류됩니다.
- Continuous Indices – Choose from the Volatility 10 Index, Volatility 25 Index, Volatility 50 Index, Volatility 75 Index, and Volatility 100 Index. These indices correspond to simulated markets with constant volatilities of 10%, 25%, 50%, 75%, and 100% respectively
- Daily Reset Indices – Daily Reset Indices replicate markets with a bullish and bearish trend with a constant volatility. The Bull Market and Bear Market indices start at 00:00 GMT each day, replicating bullish and bearish markets respectively
The barrier of a binary option trade is the price target you set for the underlying. You can choose trades that stay below or go above a price target, or stay between two targets.
A binary option is a contract purchased by a trader, which pays a pre-determined amount if their prediction is correct.
Commodities are resources that are grown or extracted from the ground, such as silver, gold and oil. On Binary.com, they are priced in US dollars.
The contract period is the timeframe of a trade. It is also called the duration.
파생상품이란 기초시장과 관련하여 가치가 결정되는 금융상품입니다. 파생상품들은 보통 은행간 시장을 통해 거래되며 바이너리는 파생상품들 중 가장 단순한 형태의 하나입니다.
The duration is the length of a purchased trade (see 'contract period').
Ends Between/Ends Outside trades
An Ends Between trade pays out if the market exit price is strictly higher than the low price target AND strictly lower than the high price target. An Ends Outside binary pays out if the market exit price is EITHER strictly higher than the high price target OR strictly lower than the low price target.
Entry spot price
The entry spot price is the starting price of the trade purchased by a trader.
The expiry price is the price of the underlying when the contract expires.
In foreign exchange markets, traders can enter contracts based on the change in price of one currency as it relates to another currency. For example if a trader selects Rise in the EUR/USD market, they are predicting that the value of the Euro will rise in relation to the value of the US dollar.
GMT stands for Greenwich Mean Time, the official time used in the UK during winter. In summer, the UK changes to British Summer Time, which is GMT + 1 hour. All times on the Binary.com site use GMT all year round.
These are trades where the trader predicts if a market will finish higher or lower than a specified price target.
Stock market indices measure the value of a selection of companies in the stock market.
These are trades where the trader selects a low and high barrier, and predicts if the market will stay within these barriers or go outside them (see also 'Stays Between/Goes Outside trades').
Market exit price
The market exit price is the price in effect at the end of the contract period.
No Touch trades
These are trades where the trader selects a price target, and predicts that the market will never touch the target before the expiry of the trade.
(One) Touch trades
These are trades where the trader selects a price target, and predicts that the market will touch the target before the expiry of the trade.
The payout is the amount paid to an options trader if their prediction is correct.
Pip stands for 'percentage in point' which is generally the fourth decimal place (i.e. 0.0001).
The profit is the difference between the purchase price (the stake) and the payout on a winning trade.
The volatility indices simulate various real market situations and provide an ideal platform for getting used to trading and testing strategies under various market conditions. These indices depend on volatility and drift, and help users to try out scenarios like - high volatility, low volatility, bullish and bearish trends.
The resale price indicates a contract's current market price. Resale prices are on a best-efforts basis and may not be available at all times after purchase. See 'Sell option' for more details on selling contracts before expiry.
The return is the money realized when the contract expires (see 'Payout').
These are trades where the trader predicts if a market will rise or fall at the end of a selected time period.
It is sometimes possible to sell an option before the expiry of a trade, but only if a fair price can be determined. If this option is available, you will see a 'Sell' button inside the popup window, after clicking on the 'View' button next to your trade in the portfolio.
This is the current price at which an underlying can be bought or sold at a particular time.
The stake is the amount that a trader must pay to enter into a trade.
Stays Between/Goes Outside trades
A Stays Between trade pays out if the market stays between (does not touch) BOTH the high barrier or the low barrier at any time during the period chosen by a trader. A Goes Outside trade pays out if the market touches EITHER the high barrier or the low barrier at any time during the period chosen by a trader.
A tick is the minimum upward or downward movement in the price of a market.
Each binary option is a prediction on the future movement of an underlying market.