致虚守静
11-08
这篇文章不错,转发给大家看看
@期权小班长:
跟期权大单学习佛系追涨
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src=\"https://static.tigerbbs.com/b5c6d3b527e745aa7848d97ff4e8dc26\" tg-width=\"2404\" tg-height=\"1270\"></p><p>周三晚标普跳涨2.53%,收盘5936,距6000点差临门一脚。这时候大家最想问的问题肯定是还能不能追高,追高了回调怎么办?</p><p>这个问题,qqq大单给出的保守策略是buy put+sell put:</p><ul style=\"\"><li><p>买 <a data-mention-id=\"QQQ 20250117 500.0 PUT\" class=\"teditor-mention\" data-mention-name=\"QQQ\" href=\"https://laohu8.com/OPT/QQQ%2020250117%20500.0%20PUT\">$QQQ 20250117 500.0 PUT$</a> ,成交量2.3万手</p></li><li><p>卖 <a data-mention-id=\"QQQ 20250620 510.0 PUT\" class=\"teditor-mention\" data-mention-name=\"QQQ\" href=\"https://laohu8.com/OPT/QQQ%2020250620%20510.0%20PUT\">$QQQ 20250620 510.0 PUT$</a> ,成交量2.3万手</p></li></ul><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/4c864af2b527cc0b4d4f0e0f160c37d5\" tg-width=\"2016\" tg-height=\"1432\"></p><p>众所周知特朗普上台利好美股,长期趋势看涨。但大家害怕短期暴涨后马上回调。牛市痛点就是没在最低价位上车。所以买近期put、同时卖远期put能很好解决近期回调远期看涨这个双重需求。</p><p>买入1月到期500看跌期权,卖出明年6月到期510看跌期权。对冲近期下跌同时看涨远期行情,年化收益率大约14%,属于完美的佛系看涨策略。</p><p>策略约等于持股+买入看跌期权。</p><p>不过如果想追涨特斯拉,这个策略可能过于佛系。我的想法是sell put +buy call:</p><ul style=\"\"><li><p>卖 <a data-mention-id=\"TSLA 20250117 250.0 PUT\" class=\"teditor-mention\" data-mention-name=\"TSLA\" href=\"https://laohu8.com/OPT/TSLA%2020250117%20250.0%20PUT\">$TSLA 20250117 250.0 PUT$</a> </p></li><li><p>买 <a data-mention-id=\"TSLA 20250117 330.0 CALL\" class=\"teditor-mention\" data-mention-name=\"TSLA\" href=\"https://laohu8.com/OPT/TSLA%2020250117%20330.0%20CALL\">$TSLA 20250117 330.0 CALL$</a> </p></li></ul><p>当前最大风险来自害怕回调的心理预期,所以用sell put对冲掉买入看涨期权成本即可。</p><p>之前说过特斯拉Q4中位价格是240,而且这次跳涨后260形成支撑位,所以即使跌了,250接盘也不亏。</p><p>如果觉得半年度sell put对冲回报低,也可以换成每周sell put,比如卖下周260put: <a data-mention-id=\"TSLA 20241115 260.0 PUT\" class=\"teditor-mention\" data-mention-name=\"TSLA\" href=\"https://laohu8.com/OPT/TSLA%2020241115%20260.0%20PUT\">$TSLA 20241115 260.0 PUT$</a> </p><p> <a data-mention-id=\"NVDA\" class=\"teditor-mention\" data-mention-name=\"英伟达\" href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$</a> </p><p>周三机构进行了看涨价差策略roll仓,行权价再度上调至148-155区间:</p><ul style=\"\"><li><p>卖 <a data-mention-id=\"NVDA 20241115 148.0 CALL\" class=\"teditor-mention\" data-mention-name=\"NVDA\" href=\"https://laohu8.com/OPT/NVDA%2020241115%20148.0%20CALL\">$NVDA 20241115 148.0 CALL$</a> ,成交量8.56万手</p></li><li><p>买 <a href=\"https://laohu8.com/OPT/NVDA 20241115 155.0 CALL\">$NVDA 20241115 155.0 CALL$ </a> ,成交量8.56万手</p></li></ul><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/efdd0b3545742f1a0b8c9e8f41b3717d\" tg-width=\"2418\" tg-height=\"260\"></p><p>11月20日英伟达公布财报,大概率财报前股价不会跌,建议持股备兑sell call上限选择155或者160。sell put行权价下限135 <a data-mention-id=\"NVDA 20241115 135.0 PUT\" class=\"teditor-mention\" data-mention-name=\"NVDA\" href=\"https://laohu8.com/OPT/NVDA%2020241115%20135.0%20PUT\">$NVDA 20241115 135.0 PUT$</a> </p></body></html>","htmlText":"<html><head></head><body><p>今晚FOMC,替鲍威尔捏把汗,因为那个代表高通胀的男人要回来了,看来明年降息计划要从长计议。</p><p>不过按照芝商所得统计,今晚如无意外大概率降息25基点。</p><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/b5c6d3b527e745aa7848d97ff4e8dc26\" tg-width=\"2404\" tg-height=\"1270\"></p><p>周三晚标普跳涨2.53%,收盘5936,距6000点差临门一脚。这时候大家最想问的问题肯定是还能不能追高,追高了回调怎么办?</p><p>这个问题,qqq大单给出的保守策略是buy put+sell put:</p><ul style=\"\"><li><p>买 <a data-mention-id=\"QQQ 20250117 500.0 PUT\" class=\"teditor-mention\" data-mention-name=\"QQQ\" href=\"https://laohu8.com/OPT/QQQ%2020250117%20500.0%20PUT\">$QQQ 20250117 500.0 PUT$</a> ,成交量2.3万手</p></li><li><p>卖 <a data-mention-id=\"QQQ 20250620 510.0 PUT\" class=\"teditor-mention\" data-mention-name=\"QQQ\" href=\"https://laohu8.com/OPT/QQQ%2020250620%20510.0%20PUT\">$QQQ 20250620 510.0 PUT$</a> ,成交量2.3万手</p></li></ul><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/4c864af2b527cc0b4d4f0e0f160c37d5\" tg-width=\"2016\" tg-height=\"1432\"></p><p>众所周知特朗普上台利好美股,长期趋势看涨。但大家害怕短期暴涨后马上回调。牛市痛点就是没在最低价位上车。所以买近期put、同时卖远期put能很好解决近期回调远期看涨这个双重需求。</p><p>买入1月到期500看跌期权,卖出明年6月到期510看跌期权。对冲近期下跌同时看涨远期行情,年化收益率大约14%,属于完美的佛系看涨策略。</p><p>策略约等于持股+买入看跌期权。</p><p>不过如果想追涨特斯拉,这个策略可能过于佛系。我的想法是sell put +buy call:</p><ul style=\"\"><li><p>卖 <a data-mention-id=\"TSLA 20250117 250.0 PUT\" class=\"teditor-mention\" data-mention-name=\"TSLA\" href=\"https://laohu8.com/OPT/TSLA%2020250117%20250.0%20PUT\">$TSLA 20250117 250.0 PUT$</a> </p></li><li><p>买 <a data-mention-id=\"TSLA 20250117 330.0 CALL\" class=\"teditor-mention\" data-mention-name=\"TSLA\" href=\"https://laohu8.com/OPT/TSLA%2020250117%20330.0%20CALL\">$TSLA 20250117 330.0 CALL$</a> </p></li></ul><p>当前最大风险来自害怕回调的心理预期,所以用sell put对冲掉买入看涨期权成本即可。</p><p>之前说过特斯拉Q4中位价格是240,而且这次跳涨后260形成支撑位,所以即使跌了,250接盘也不亏。</p><p>如果觉得半年度sell put对冲回报低,也可以换成每周sell put,比如卖下周260put: <a data-mention-id=\"TSLA 20241115 260.0 PUT\" class=\"teditor-mention\" data-mention-name=\"TSLA\" href=\"https://laohu8.com/OPT/TSLA%2020241115%20260.0%20PUT\">$TSLA 20241115 260.0 PUT$</a> </p><p> <a data-mention-id=\"NVDA\" class=\"teditor-mention\" data-mention-name=\"英伟达\" href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$</a> </p><p>周三机构进行了看涨价差策略roll仓,行权价再度上调至148-155区间:</p><ul style=\"\"><li><p>卖 <a data-mention-id=\"NVDA 20241115 148.0 CALL\" class=\"teditor-mention\" data-mention-name=\"NVDA\" href=\"https://laohu8.com/OPT/NVDA%2020241115%20148.0%20CALL\">$NVDA 20241115 148.0 CALL$</a> ,成交量8.56万手</p></li><li><p>买 <a href=\"https://laohu8.com/OPT/NVDA 20241115 155.0 CALL\">$NVDA 20241115 155.0 CALL$ </a> ,成交量8.56万手</p></li></ul><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/efdd0b3545742f1a0b8c9e8f41b3717d\" tg-width=\"2418\" tg-height=\"260\"></p><p>11月20日英伟达公布财报,大概率财报前股价不会跌,建议持股备兑sell call上限选择155或者160。sell put行权价下限135 <a data-mention-id=\"NVDA 20241115 135.0 PUT\" class=\"teditor-mention\" data-mention-name=\"NVDA\" href=\"https://laohu8.com/OPT/NVDA%2020241115%20135.0%20PUT\">$NVDA 20241115 135.0 PUT$</a> </p></body></html>","text":"今晚FOMC,替鲍威尔捏把汗,因为那个代表高通胀的男人要回来了,看来明年降息计划要从长计议。 不过按照芝商所得统计,今晚如无意外大概率降息25基点。 周三晚标普跳涨2.53%,收盘5936,距6000点差临门一脚。这时候大家最想问的问题肯定是还能不能追高,追高了回调怎么办? 这个问题,qqq大单给出的保守策略是buy put+sell put: 买 $QQQ 20250117 500.0 PUT$ ,成交量2.3万手 卖 $QQQ 20250620 510.0 PUT$ ,成交量2.3万手 众所周知特朗普上台利好美股,长期趋势看涨。但大家害怕短期暴涨后马上回调。牛市痛点就是没在最低价位上车。所以买近期put、同时卖远期put能很好解决近期回调远期看涨这个双重需求。 买入1月到期500看跌期权,卖出明年6月到期510看跌期权。对冲近期下跌同时看涨远期行情,年化收益率大约14%,属于完美的佛系看涨策略。 策略约等于持股+买入看跌期权。 不过如果想追涨特斯拉,这个策略可能过于佛系。我的想法是sell put +buy call: 卖 $TSLA 20250117 250.0 PUT$ 买 $TSLA 20250117 330.0 CALL$ 当前最大风险来自害怕回调的心理预期,所以用sell put对冲掉买入看涨期权成本即可。 之前说过特斯拉Q4中位价格是240,而且这次跳涨后260形成支撑位,所以即使跌了,250接盘也不亏。 如果觉得半年度sell put对冲回报低,也可以换成每周sell put,比如卖下周260put: $TSLA 20241115 260.0 PUT$ $英伟达(NVDA)$ 周三机构进行了看涨价差策略roll仓,行权价再度上调至148-155区间: 卖 $NVDA 20241115 148.0 CALL$ ,成交量8.56万手 买 $NVDA 20241115 155.0 CALL$ ,成交量8.56万手 11月20日英伟达公布财报,大概率财报前股价不会跌,建议持股备兑sell call上限选择155或者160。sell put行权价下限135 $NVDA 20241115 135.0 PUT$","highlighted":1,"essential":2,"paper":2,"link":"https://laohu8.com/post/368531627470920","repostId":0,"isVote":1,"tweetType":1,"commentLimit":10,"symbols":["NVDA","QQQ","TSLA","TSLA 20250117 250.0 PUT","TSLA 20250117 330.0 CALL","QQQ 20250117 500.0 PUT","QQQ 20250620 510.0 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