庄小散
07-17
对你的就觉得
@阳光彩虹派:
本月收益率67%,复盘得失与领悟
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作为期权玩家,交易短线期权仍是我的主基调,确实本月盈利TOP5也均为期权<span class=\"teditor-emoji\">[微笑]</span>。这里做下经验分享:</p>\n<p>1、期权交易我一般采用“资金阶梯式建仓原则”:一般末日期权(当周到期)不超过20%的仓位,并采取日内波段平仓,也就是不会持仓过夜;如果是1个月以上的期权,约50%的仓位,3个月以上的期权会提高到80%的仓位;仓位的权重与期权价值成正比;</p>\n<p>2、避免交易财报中的股票期权:关于个股财报期间的期权会比较特殊,有不少雷区,在上周的社区直播中我也跟大家做了分享:把握翻倍收益机会,我的财报交易策略 https://tigr.link/98RzV4,这里就不做累赘。</p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/bb6fea5ffd45bff597541ad885ab32fa\" tg-width=\"1284\" tg-height=\"1987\"><span>TOP5盈利图</span></p>\n<p>二、交易妖股亏损累累</p>\n<p> 翻开亏损TOP5可以看到,亏损最多的是特朗普概念股PHUN <a href=\"https://laohu8.com/S/PHUN\">$Phunware, Inc.(PHUN)$</a> ,还有低价股RDZN。可谓是冲动是魔鬼<span class=\"teditor-emoji\">[捂脸]</span>,这两只股票操作失误也让自己好好反省:</p>\n<p>1、PHUN是昨天盘前因为特朗普遇刺事件高开而买进的,一度赚了8%却没有及时收手,其实盘前是没有任何技术指标参考的, 买卖的风险极大,再加上前方抛压较大,开盘时一路下砸,最后我割肉出局也为自己的冲动行为埋单!</p>\n<p>2、RDZN是当时在异动榜单发现该股的,本来只想拼手速博个短线,而没有仔细思考该股是因为当晚公布业绩利好而暴涨,非热点股票缺少延续性,最终也是高开低走。</p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/c6d4d540d1b783f6bb3331d8aab25242\" tg-width=\"4096\" tg-height=\"4096\"><span>亏损TOP5</span></p>\n<p><strong>三、接下来的操作策略</strong></p>\n<p> 本周拉开科技股财报的帷幕,17日盘前 <a href=\"https://laohu8.com/S/ASML\">$阿斯麦(ASML)$</a> ,18日盘前台积电 <a href=\"https://laohu8.com/S/TSM\">$台积电(TSM)$</a> 以及盘后奈飞 <a href=\"https://laohu8.com/S/NFLX\">$奈飞(NFLX)$</a> ,之前因为无数次赌财报踩过坑<span class=\"teditor-emoji\">[笑哭]</span>,所以我不会操作财报的个股期权,可以等财报发布后的机会以及同板块明星股的机会:</p>\n<p>1、比如台积电和英伟达 <a href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$</a> 等明星股同板块,如果台积电财报超预期,也有可能带动同板块一起上涨,反之,如果台积电本季财报不及预期,同板块下砸风险也会比较大;等财报发布后再建仓预判会更清晰;</p>\n<p>2、关注QQQ和SPY指数期权:财报季一般个股的IV都普遍较高,期权偏贵,而对应纳指的QQQ和对应标普指数的SPY目前的IV都比较低,期权价格也便宜,如果有大的波动,获利机会空间比较大。</p>\n<p> 股市没有常胜将军,时常复盘,总结不足,才能让路走得更长远, 但愿年终复盘的时候,大家都能交上满意的收益答卷<span class=\"teditor-emoji\">[看涨]</span><span class=\"teditor-emoji\">[微笑]</span> <a href=\"https://laohu8.com/U/20722186463466\">@爱发红包的虎妞</a> <a href=\"https://laohu8.com/U/3527667699676929\">@小虎交易笔记</a> <a href=\"https://laohu8.com/U/36984908995200\">@小虎活动</a> <a href=\"https://laohu8.com/U/3457599209868304\">@波波斯基</a> <a href=\"https://laohu8.com/U/3481326504156632\">@特斯拉熄火夫斯基</a> </p></body></html>","htmlText":"<html><head></head><body><p> 来到了夏日炎炎的7月,一转眼,2024年已过半年有余。本月最高峰时收益率165%,最近因为几次失误回撤了些,截至今日收益率67.85%,总体而言算比较满意,但对比高峰期的回撤还是有遗憾<span class=\"teditor-emoji\">[笑哭]</span>,今天把得失与领悟做下复盘。</p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/79ba7c6478c3f7f603dc14cd4d11ae13\" tg-width=\"1284\" tg-height=\"1374\"><span>本月的收益率图</span></p>\n<p><strong>一、交易期权仍是我主要盈利</strong></p>\n<p> 作为期权玩家,交易短线期权仍是我的主基调,确实本月盈利TOP5也均为期权<span class=\"teditor-emoji\">[微笑]</span>。这里做下经验分享:</p>\n<p>1、期权交易我一般采用“资金阶梯式建仓原则”:一般末日期权(当周到期)不超过20%的仓位,并采取日内波段平仓,也就是不会持仓过夜;如果是1个月以上的期权,约50%的仓位,3个月以上的期权会提高到80%的仓位;仓位的权重与期权价值成正比;</p>\n<p>2、避免交易财报中的股票期权:关于个股财报期间的期权会比较特殊,有不少雷区,在上周的社区直播中我也跟大家做了分享:把握翻倍收益机会,我的财报交易策略 https://tigr.link/98RzV4,这里就不做累赘。</p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/bb6fea5ffd45bff597541ad885ab32fa\" tg-width=\"1284\" tg-height=\"1987\"><span>TOP5盈利图</span></p>\n<p>二、交易妖股亏损累累</p>\n<p> 翻开亏损TOP5可以看到,亏损最多的是特朗普概念股PHUN <a href=\"https://laohu8.com/S/PHUN\">$Phunware, Inc.(PHUN)$</a> ,还有低价股RDZN。可谓是冲动是魔鬼<span class=\"teditor-emoji\">[捂脸]</span>,这两只股票操作失误也让自己好好反省:</p>\n<p>1、PHUN是昨天盘前因为特朗普遇刺事件高开而买进的,一度赚了8%却没有及时收手,其实盘前是没有任何技术指标参考的, 买卖的风险极大,再加上前方抛压较大,开盘时一路下砸,最后我割肉出局也为自己的冲动行为埋单!</p>\n<p>2、RDZN是当时在异动榜单发现该股的,本来只想拼手速博个短线,而没有仔细思考该股是因为当晚公布业绩利好而暴涨,非热点股票缺少延续性,最终也是高开低走。</p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/c6d4d540d1b783f6bb3331d8aab25242\" tg-width=\"4096\" tg-height=\"4096\"><span>亏损TOP5</span></p>\n<p><strong>三、接下来的操作策略</strong></p>\n<p> 本周拉开科技股财报的帷幕,17日盘前 <a href=\"https://laohu8.com/S/ASML\">$阿斯麦(ASML)$</a> ,18日盘前台积电 <a href=\"https://laohu8.com/S/TSM\">$台积电(TSM)$</a> 以及盘后奈飞 <a href=\"https://laohu8.com/S/NFLX\">$奈飞(NFLX)$</a> ,之前因为无数次赌财报踩过坑<span class=\"teditor-emoji\">[笑哭]</span>,所以我不会操作财报的个股期权,可以等财报发布后的机会以及同板块明星股的机会:</p>\n<p>1、比如台积电和英伟达 <a href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$</a> 等明星股同板块,如果台积电财报超预期,也有可能带动同板块一起上涨,反之,如果台积电本季财报不及预期,同板块下砸风险也会比较大;等财报发布后再建仓预判会更清晰;</p>\n<p>2、关注QQQ和SPY指数期权:财报季一般个股的IV都普遍较高,期权偏贵,而对应纳指的QQQ和对应标普指数的SPY目前的IV都比较低,期权价格也便宜,如果有大的波动,获利机会空间比较大。</p>\n<p> 股市没有常胜将军,时常复盘,总结不足,才能让路走得更长远, 但愿年终复盘的时候,大家都能交上满意的收益答卷<span class=\"teditor-emoji\">[看涨]</span><span class=\"teditor-emoji\">[微笑]</span> <a href=\"https://laohu8.com/U/20722186463466\">@爱发红包的虎妞</a> <a href=\"https://laohu8.com/U/3527667699676929\">@小虎交易笔记</a> <a href=\"https://laohu8.com/U/36984908995200\">@小虎活动</a> <a href=\"https://laohu8.com/U/3457599209868304\">@波波斯基</a> <a href=\"https://laohu8.com/U/3481326504156632\">@特斯拉熄火夫斯基</a> </p></body></html>","text":"来到了夏日炎炎的7月,一转眼,2024年已过半年有余。本月最高峰时收益率165%,最近因为几次失误回撤了些,截至今日收益率67.85%,总体而言算比较满意,但对比高峰期的回撤还是有遗憾[笑哭],今天把得失与领悟做下复盘。 本月的收益率图 一、交易期权仍是我主要盈利 作为期权玩家,交易短线期权仍是我的主基调,确实本月盈利TOP5也均为期权[微笑]。这里做下经验分享: 1、期权交易我一般采用“资金阶梯式建仓原则”:一般末日期权(当周到期)不超过20%的仓位,并采取日内波段平仓,也就是不会持仓过夜;如果是1个月以上的期权,约50%的仓位,3个月以上的期权会提高到80%的仓位;仓位的权重与期权价值成正比; 2、避免交易财报中的股票期权:关于个股财报期间的期权会比较特殊,有不少雷区,在上周的社区直播中我也跟大家做了分享:把握翻倍收益机会,我的财报交易策略 https://tigr.link/98RzV4,这里就不做累赘。 TOP5盈利图 二、交易妖股亏损累累 翻开亏损TOP5可以看到,亏损最多的是特朗普概念股PHUN $Phunware, Inc.(PHUN)$ ,还有低价股RDZN。可谓是冲动是魔鬼[捂脸],这两只股票操作失误也让自己好好反省: 1、PHUN是昨天盘前因为特朗普遇刺事件高开而买进的,一度赚了8%却没有及时收手,其实盘前是没有任何技术指标参考的, 买卖的风险极大,再加上前方抛压较大,开盘时一路下砸,最后我割肉出局也为自己的冲动行为埋单! 2、RDZN是当时在异动榜单发现该股的,本来只想拼手速博个短线,而没有仔细思考该股是因为当晚公布业绩利好而暴涨,非热点股票缺少延续性,最终也是高开低走。 亏损TOP5 三、接下来的操作策略 本周拉开科技股财报的帷幕,17日盘前 $阿斯麦(ASML)$ ,18日盘前台积电 $台积电(TSM)$ 以及盘后奈飞 $奈飞(NFLX)$ ,之前因为无数次赌财报踩过坑[笑哭],所以我不会操作财报的个股期权,可以等财报发布后的机会以及同板块明星股的机会: 1、比如台积电和英伟达 $英伟达(NVDA)$ 等明星股同板块,如果台积电财报超预期,也有可能带动同板块一起上涨,反之,如果台积电本季财报不及预期,同板块下砸风险也会比较大;等财报发布后再建仓预判会更清晰; 2、关注QQQ和SPY指数期权:财报季一般个股的IV都普遍较高,期权偏贵,而对应纳指的QQQ和对应标普指数的SPY目前的IV都比较低,期权价格也便宜,如果有大的波动,获利机会空间比较大。 股市没有常胜将军,时常复盘,总结不足,才能让路走得更长远, 但愿年终复盘的时候,大家都能交上满意的收益答卷[看涨][微笑] @爱发红包的虎妞 @小虎交易笔记 @小虎活动 @波波斯基 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