irisQ
11-16
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@炼金鳄鱼:
共振裸K结合Risk Reversal赌财报复盘TSLA
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true}","description":"交易复盘是每个投资者的必修课,分享复盘笔记,可以帮助我们更好的修正自己的交易行为。小虎君想邀请广大虎友阶段性的复盘自己的交易,总结自己的交易得失。欢迎大家积极参与!","image":"https://static.tigerbbs.com/00be65364555c13911c6d14681ef1b80"}],"images":[{"img":"https://static.tigerbbs.com/82342658787a81f46f337402f47a947a","width":"1200","height":"600"},{"img":"https://static.tigerbbs.com/1110610bcae580633c01838c27fb7b84","width":"2174","height":"1266"},{"img":"https://static.tigerbbs.com/bf755848ed3430b298aafee8d068bc2d","width":"2157","height":"1264"},{"img":"https://static.tigerbbs.com/3532c51b6bf64ecd9068933b93da0ff6","width":"981","height":"1637"},{"img":"https://static.tigerbbs.com/b8c8a756156b3c2404c87ba294c75a73","width":"981","height":"1637"}],"coverImages":[{"img":"https://static.tigerbbs.com/82342658787a81f46f337402f47a947a","width":"1200","height":"600"},{"img":"https://static.tigerbbs.com/1110610bcae580633c01838c27fb7b84","width":"2174","height":"1266"},{"img":"https://static.tigerbbs.com/bf755848ed3430b298aafee8d068bc2d","width":"2157","height":"1264"}],"title":"共振裸K结合Risk Reversal赌财报复盘TSLA","html":"<html><head></head><body><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/82342658787a81f46f337402f47a947a\" tg-width=\"1200\" tg-height=\"600\"><span></span></p>\n<blockquote>\n <a href=\"https://laohu8.com/S/TSLA\">$特斯拉(TSLA)$</a> <em>首先说明本文仅从技术分析角度复盘,新人随笔复盘,还请大佬多指教</em>\n</blockquote>\n<p><br></p>\n<h2>趋势判断:</h2>\n<p>1、大级别:当时从趋势上判断TSLA处于日线和周线级别处于突破状态,且回踩整个上升趋势中50%分割线,因为我认为此时大趋势仍旧向上,且已经突破整个下行的下跌趋势线。</p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/1110610bcae580633c01838c27fb7b84\" tg-width=\"2174\" tg-height=\"1266\"><span>左日K、右周K</span></p>\n<p>2、小级别:此时1H处于经过一轮发布会低于预期后的恐慌抛售,出现初次带量需求K,随后一直缩量在箱体内盘整,次日出现了震仓但是都未放出量能。此时也能作为判断供应衰竭的其中一个佐证。此时我想的事保持交易一致性顺大逆小来操作(最深趋势线回踩预估210-205)</p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/bf755848ed3430b298aafee8d068bc2d\" tg-width=\"2157\" tg-height=\"1264\"><span>左1小时K、右4小时K</span></p>\n<h2>策略的选择</h2>\n<p style=\"text-align: start;\">3、综上从趋势顺大逆小趋势判断来说,我觉得特斯拉这波回踩后依然会继续涨。如果选择不操作我可能会错过这次恐慌抛售后捡筹码/抢反弹的机会。不操作一定概率会错过反弹的趋势和赌财报的机会。而操作风险是害怕下周价格继续下探跌穿212.11前低,所以相比之前买正股我想做一定下跌/时间损耗保护的条件下最大化吃到反弹涨幅。</p>\n<p style=\"text-align: start;\">4、综合我看好反弹和想赌一把财报复苏的背景下,我选择卖出行权价210的put➕买入230行权价的call</p>\n<p style=\"text-align: start;\">选择原因临近财报前一天的最高风险点210,和上涨中可能到达第一遇阻的点230(突破有较大概率变为in the money,sell put能为我对冲掉买call带来时间损耗)</p>\n<p style=\"text-align: start;\">5、此策略最大优势就是在于,我是无本抄底TSLA相当于(sell put = 4.02、buy call = 1.92)且能为我消化掉股价万一不反弹的时间损耗和一定继续下跌的风险</p>\n<p style=\"text-align: start;\">6、TSLA股性这么多年来也是有目共睹的,涨的多快多高、就跌的多快多深,反之亦然。</p>\n<h2>总结</h2>\n<p style=\"text-align: start;\"><strong>使用0成本最强抄底策略Risk Reversal</strong></p>\n<p style=\"text-align: start;\"><strong>sell put 210 20241025</strong></p>\n<p style=\"text-align: start;\"><strong>by call 230 20241025</strong></p>\n<p style=\"text-align: start;\"><strong>刚好在财报前夕开进一步降低Theta,又能吃到反弹最大的涨幅</strong></p>\n<p style=\"text-align: start;\"><strong>结果图:</strong></p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/3532c51b6bf64ecd9068933b93da0ff6\" tg-width=\"981\" tg-height=\"1637\"><span></span></p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/b8c8a756156b3c2404c87ba294c75a73\" tg-width=\"981\" tg-height=\"1637\"><span></span></p></body></html>","htmlText":"<html><head></head><body><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/82342658787a81f46f337402f47a947a\" tg-width=\"1200\" tg-height=\"600\"><span></span></p>\n<blockquote>\n <a href=\"https://laohu8.com/S/TSLA\">$特斯拉(TSLA)$</a> <em>首先说明本文仅从技术分析角度复盘,新人随笔复盘,还请大佬多指教</em>\n</blockquote>\n<p><br></p>\n<h2>趋势判断:</h2>\n<p>1、大级别:当时从趋势上判断TSLA处于日线和周线级别处于突破状态,且回踩整个上升趋势中50%分割线,因为我认为此时大趋势仍旧向上,且已经突破整个下行的下跌趋势线。</p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/1110610bcae580633c01838c27fb7b84\" tg-width=\"2174\" tg-height=\"1266\"><span>左日K、右周K</span></p>\n<p>2、小级别:此时1H处于经过一轮发布会低于预期后的恐慌抛售,出现初次带量需求K,随后一直缩量在箱体内盘整,次日出现了震仓但是都未放出量能。此时也能作为判断供应衰竭的其中一个佐证。此时我想的事保持交易一致性顺大逆小来操作(最深趋势线回踩预估210-205)</p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/bf755848ed3430b298aafee8d068bc2d\" tg-width=\"2157\" tg-height=\"1264\"><span>左1小时K、右4小时K</span></p>\n<h2>策略的选择</h2>\n<p style=\"text-align: start;\">3、综上从趋势顺大逆小趋势判断来说,我觉得特斯拉这波回踩后依然会继续涨。如果选择不操作我可能会错过这次恐慌抛售后捡筹码/抢反弹的机会。不操作一定概率会错过反弹的趋势和赌财报的机会。而操作风险是害怕下周价格继续下探跌穿212.11前低,所以相比之前买正股我想做一定下跌/时间损耗保护的条件下最大化吃到反弹涨幅。</p>\n<p style=\"text-align: start;\">4、综合我看好反弹和想赌一把财报复苏的背景下,我选择卖出行权价210的put➕买入230行权价的call</p>\n<p style=\"text-align: start;\">选择原因临近财报前一天的最高风险点210,和上涨中可能到达第一遇阻的点230(突破有较大概率变为in the money,sell put能为我对冲掉买call带来时间损耗)</p>\n<p style=\"text-align: start;\">5、此策略最大优势就是在于,我是无本抄底TSLA相当于(sell put = 4.02、buy call = 1.92)且能为我消化掉股价万一不反弹的时间损耗和一定继续下跌的风险</p>\n<p style=\"text-align: start;\">6、TSLA股性这么多年来也是有目共睹的,涨的多快多高、就跌的多快多深,反之亦然。</p>\n<h2>总结</h2>\n<p style=\"text-align: start;\"><strong>使用0成本最强抄底策略Risk Reversal</strong></p>\n<p style=\"text-align: start;\"><strong>sell put 210 20241025</strong></p>\n<p style=\"text-align: start;\"><strong>by call 230 20241025</strong></p>\n<p style=\"text-align: start;\"><strong>刚好在财报前夕开进一步降低Theta,又能吃到反弹最大的涨幅</strong></p>\n<p style=\"text-align: start;\"><strong>结果图:</strong></p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/3532c51b6bf64ecd9068933b93da0ff6\" tg-width=\"981\" tg-height=\"1637\"><span></span></p>\n<p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/b8c8a756156b3c2404c87ba294c75a73\" tg-width=\"981\" tg-height=\"1637\"><span></span></p></body></html>","text":"$特斯拉(TSLA)$ 首先说明本文仅从技术分析角度复盘,新人随笔复盘,还请大佬多指教 趋势判断: 1、大级别:当时从趋势上判断TSLA处于日线和周线级别处于突破状态,且回踩整个上升趋势中50%分割线,因为我认为此时大趋势仍旧向上,且已经突破整个下行的下跌趋势线。 左日K、右周K 2、小级别:此时1H处于经过一轮发布会低于预期后的恐慌抛售,出现初次带量需求K,随后一直缩量在箱体内盘整,次日出现了震仓但是都未放出量能。此时也能作为判断供应衰竭的其中一个佐证。此时我想的事保持交易一致性顺大逆小来操作(最深趋势线回踩预估210-205) 左1小时K、右4小时K 策略的选择 3、综上从趋势顺大逆小趋势判断来说,我觉得特斯拉这波回踩后依然会继续涨。如果选择不操作我可能会错过这次恐慌抛售后捡筹码/抢反弹的机会。不操作一定概率会错过反弹的趋势和赌财报的机会。而操作风险是害怕下周价格继续下探跌穿212.11前低,所以相比之前买正股我想做一定下跌/时间损耗保护的条件下最大化吃到反弹涨幅。 4、综合我看好反弹和想赌一把财报复苏的背景下,我选择卖出行权价210的put➕买入230行权价的call 选择原因临近财报前一天的最高风险点210,和上涨中可能到达第一遇阻的点230(突破有较大概率变为in the money,sell put能为我对冲掉买call带来时间损耗) 5、此策略最大优势就是在于,我是无本抄底TSLA相当于(sell put = 4.02、buy call = 1.92)且能为我消化掉股价万一不反弹的时间损耗和一定继续下跌的风险 6、TSLA股性这么多年来也是有目共睹的,涨的多快多高、就跌的多快多深,反之亦然。 总结 使用0成本最强抄底策略Risk Reversal sell put 210 20241025 by call 230 20241025 刚好在财报前夕开进一步降低Theta,又能吃到反弹最大的涨幅 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