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CVX Pip Value Calculator – Chevron Stock Trading

作者 Pulsar 研究团队··
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点值CVX

Pip大小0.01
点值(1手)$1
合约大小1
典型点差0.5 pips

交易工具

计算 CVX 的交易成本和仓位大小

点差成本计算器

估算您在 CVX 的交易成本
每笔交易
$0.05
每日
$0.15
每月(22天)
$3.30
每年
$39.60

基于标准外汇手数($10/点)的估算成本。实际成本因品种和市场状况而异。

仓位大小计算器

根据您的风险管理计算最佳手数

风险等级中等风险
建议仓位大小
0.40
风险 $200.00
每点 $4.00
风险: $200184£158

基于标准外汇手数($10/点)。请针对不同品种进行调整,并务必与经纪商确认。

深度分析

A $0.01 move in Chevron Corporation (CVX) translates to exactly $1.00 per contract — a clean ratio that simplifies position sizing but still demands precision. Miss the calculation, and a 20-pip adverse move on a 5-contract position costs $100 before you've had time to react. Here's how the numbers work.

要点总结

  • The formula is straightforward: Pip Value = Pip Size × Contract Size × Number of Contracts. For CVX, that means 0.01 × 1...
  • Chevron traded near $155 in early 2024. At that price level, consider a position of 50 contracts. Pip Value per contract...
  • Counterintuitive but true: a higher pip value is not inherently riskier — it's only dangerous when position size isn't a...
1

How to Calculate Pip Value for CVX

The formula is straightforward: Pip Value = Pip Size × Contract Size × Number of Contracts. For CVX, that means 0.01 × 1 × N contracts. With one contract, every single pip equals $1.00. Scale to 10 contracts and each pip represents $10.00 in real P&L movement. CVX's pip size of 0.01 reflects standard equity pricing increments — the smallest measurable price change on the instrument. Unlike forex pairs where pip value fluctuates with exchange rates, CVX pip value remains fixed in USD, making position sizing arithmetic direct and repeatable. Pulsar Terminal's built-in pip value calculator auto-fills CVX's contract size and pip value, eliminating manual lookup before every trade.

2

CVX Pip Value Example: Running the Real Numbers

Chevron traded near $155 in early 2024. At that price level, consider a position of 50 contracts. Pip Value per contract = 0.01 × 1 = $1.00. Total pip value across 50 contracts = $50.00. CVX's typical spread sits at 0.5 pips — equivalent to $0.50 per contract at entry. On a 50-contract position, that spread cost equals $25.00 immediately upon opening the trade. Now map that to a defined risk target: a 40-pip stop-loss on 50 contracts produces a maximum loss of $2,000. Reverse the math to find position size from a dollar risk budget — if the account risk limit is $500 per trade with a 40-pip stop, the calculation yields a maximum of 12 contracts (500 ÷ 40 = 12.5, rounded down). The numbers dictate the size. Emotion does not.

Counterintuitive but true: a higher pip value is not inherently riskier — it's only dangerous when position size isn't adjusted to match.

3

Why Pip Value Determines Risk Per Trade on CVX

Counterintuitive but true: a higher pip value is not inherently riskier — it's only dangerous when position size isn't adjusted to match. Data from retail trading studies consistently shows that position sizing errors, not market direction calls, account for the majority of account drawdowns. With CVX at $1.00 per pip per contract, the math is unusually transparent. A 2% account risk rule on a $10,000 account allows $200 per trade. At a 20-pip stop, that permits 10 contracts maximum (200 ÷ 20 = 10). Tighten the stop to 10 pips and the same risk budget supports 20 contracts. The pip value stays constant at $1.00 — only the stop distance and contract count move. This fixed relationship makes CVX one of the more calculable equity instruments for systematic risk management, particularly when scaling positions across multiple trades or running a defined daily loss limit on prop firm accounts.

常见问题

Q1What is the pip value for one CVX contract in MetaTrader 5?

One CVX contract has a pip size of 0.01 and a contract size of 1, producing a pip value of exactly $1.00. This means each $0.01 price movement generates $1.00 in profit or loss per contract held.

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风险提示

金融工具交易存在重大风险,可能不适合所有投资者。过往业绩不代表未来表现。本内容仅供教育目的,不构成投资建议。在交易前请务必自行研究。