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11-17
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@期权小班长:
特斯拉看涨期权要不要止盈?一个方法让利润继续奔跑
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好用不</a>?</p><p>这个方法不仅上车方便,下车也方便。盘前特斯拉涨到340肯定有很多人想下车了。正股下车的方法是减仓,看涨期权的下车方法是roll仓,即持仓期权平仓买入更便宜的看涨期权。</p><p>很多人买入期权后,要么就死拿结果股价回撤,好一点利润缩减,差一点本金赔完;要么涨了就平仓,然后看着股价继续涨后悔买入追高。</p><p>想要避免这两种情况,单靠说服自己放平心态是不行的,保住本金让利滚利才是放手一搏的上策。</p><p>哪些期权会更便宜呢?比持仓期权到期日更近或者行权价更高的期权。</p><p>比如我上周买的call是330 <a href=\"https://laohu8.com/OPT/TSLA 20250117 330.0 CALL\">$TSLA 20250117 330.0 CALL$ </a>,开盘后平仓roll400 <a data-mention-id=\"TSLA 20250117 400.0 CALL\" class=\"teditor-mention\" data-mention-name=\"TSLA\" href=\"https://laohu8.com/OPT/TSLA%2020250117%20400.0%20CALL\">$TSLA 20250117 400.0 CALL$</a> 。</p><p>roll仓方法之一是到期日不变提高行权价,方法之二是选择到期日更近的,比如选择11月底到期350的看涨期权 <a data-mention-id=\"TSLA 20241129 350.0 CALL\" class=\"teditor-mention\" data-mention-name=\"TSLA\" href=\"https://laohu8.com/OPT/TSLA%2020241129%20350.0%20CALL\">$TSLA 20241129 350.0 CALL$</a> 。</p><p>两者有点微妙区别,我通常会选第一种。</p><p>虽然我上周惯例分享了机构的sell call区间,但是我自己没做sell call,因为我都不记得今年被马斯克爆过几次备兑了。</p><p>大家应该都有印象美国独立日特斯拉暴涨,马斯克的面子大过天,既然这位老板这么喜欢发普天同庆大红包那就顺着他呗。</p><p>然后不出意外机构上周备兑策略翻车了,含泪割肉,重新买入本周价差,区间是340-375:</p><ul style=\"\"><li><p>卖 <a href=\"https://laohu8.com/OPT/TSLA 20241115 340.0 CALL\">$TSLA 20241115 340.0 CALL$ </a> </p></li><li><p>买 <a href=\"https://laohu8.com/OPT/TSLA 20241115 375.0 CALL\">$TSLA 20241115 375.0 CALL$ </a> </p></li></ul><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/ae53d7c0d2bb47887ad1a764d67b31f3\" tg-width=\"1837\" tg-height=\"204\"></p><p>我对于本周上限仍持观望态度,没上车的朋友可以考虑sell put,看跌期权的隐含波动率非常高,年化收益率很不错。</p><p>根据周五未平仓数据,除了看涨roll仓以及备兑交易外,大部分开仓来自散户零售交易,当周定价尚不稳定,周五收盘价基础上押注远期看涨的不多,但也没有成规模的看跌大单。</p><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/b28cbe2994cca8b950396098a52aef29\" tg-width=\"915\" tg-height=\"465\"></p><p>在此之前很多sell call大单选择11月29日和12月6日到期日的期权,一个猜想,可能像样的回调要等到月底了。</p></body></html>","htmlText":"<html><head></head><body><p> <a data-mention-id=\"TSLA\" class=\"teditor-mention\" data-mention-name=\"特斯拉\" href=\"https://laohu8.com/S/TSLA\">$特斯拉(TSLA)$</a> </p><p><a href=\"https://laohu8.com/TW/368531627470920\" title=\"上周分享的期权策略 buy call + sell put 好用不\" target=\"_blank\">上周分享的期权策略 buy call + sell put 好用不</a>?</p><p>这个方法不仅上车方便,下车也方便。盘前特斯拉涨到340肯定有很多人想下车了。正股下车的方法是减仓,看涨期权的下车方法是roll仓,即持仓期权平仓买入更便宜的看涨期权。</p><p>很多人买入期权后,要么就死拿结果股价回撤,好一点利润缩减,差一点本金赔完;要么涨了就平仓,然后看着股价继续涨后悔买入追高。</p><p>想要避免这两种情况,单靠说服自己放平心态是不行的,保住本金让利滚利才是放手一搏的上策。</p><p>哪些期权会更便宜呢?比持仓期权到期日更近或者行权价更高的期权。</p><p>比如我上周买的call是330 <a href=\"https://laohu8.com/OPT/TSLA 20250117 330.0 CALL\">$TSLA 20250117 330.0 CALL$ </a>,开盘后平仓roll400 <a data-mention-id=\"TSLA 20250117 400.0 CALL\" class=\"teditor-mention\" data-mention-name=\"TSLA\" href=\"https://laohu8.com/OPT/TSLA%2020250117%20400.0%20CALL\">$TSLA 20250117 400.0 CALL$</a> 。</p><p>roll仓方法之一是到期日不变提高行权价,方法之二是选择到期日更近的,比如选择11月底到期350的看涨期权 <a data-mention-id=\"TSLA 20241129 350.0 CALL\" class=\"teditor-mention\" data-mention-name=\"TSLA\" href=\"https://laohu8.com/OPT/TSLA%2020241129%20350.0%20CALL\">$TSLA 20241129 350.0 CALL$</a> 。</p><p>两者有点微妙区别,我通常会选第一种。</p><p>虽然我上周惯例分享了机构的sell call区间,但是我自己没做sell call,因为我都不记得今年被马斯克爆过几次备兑了。</p><p>大家应该都有印象美国独立日特斯拉暴涨,马斯克的面子大过天,既然这位老板这么喜欢发普天同庆大红包那就顺着他呗。</p><p>然后不出意外机构上周备兑策略翻车了,含泪割肉,重新买入本周价差,区间是340-375:</p><ul style=\"\"><li><p>卖 <a href=\"https://laohu8.com/OPT/TSLA 20241115 340.0 CALL\">$TSLA 20241115 340.0 CALL$ </a> </p></li><li><p>买 <a href=\"https://laohu8.com/OPT/TSLA 20241115 375.0 CALL\">$TSLA 20241115 375.0 CALL$ </a> </p></li></ul><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/ae53d7c0d2bb47887ad1a764d67b31f3\" tg-width=\"1837\" tg-height=\"204\"></p><p>我对于本周上限仍持观望态度,没上车的朋友可以考虑sell put,看跌期权的隐含波动率非常高,年化收益率很不错。</p><p>根据周五未平仓数据,除了看涨roll仓以及备兑交易外,大部分开仓来自散户零售交易,当周定价尚不稳定,周五收盘价基础上押注远期看涨的不多,但也没有成规模的看跌大单。</p><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/b28cbe2994cca8b950396098a52aef29\" tg-width=\"915\" tg-height=\"465\"></p><p>在此之前很多sell call大单选择11月29日和12月6日到期日的期权,一个猜想,可能像样的回调要等到月底了。</p></body></html>","text":"$特斯拉(TSLA)$ 上周分享的期权策略 buy call + sell put 好用不? 这个方法不仅上车方便,下车也方便。盘前特斯拉涨到340肯定有很多人想下车了。正股下车的方法是减仓,看涨期权的下车方法是roll仓,即持仓期权平仓买入更便宜的看涨期权。 很多人买入期权后,要么就死拿结果股价回撤,好一点利润缩减,差一点本金赔完;要么涨了就平仓,然后看着股价继续涨后悔买入追高。 想要避免这两种情况,单靠说服自己放平心态是不行的,保住本金让利滚利才是放手一搏的上策。 哪些期权会更便宜呢?比持仓期权到期日更近或者行权价更高的期权。 比如我上周买的call是330 $TSLA 20250117 330.0 CALL$ ,开盘后平仓roll400 $TSLA 20250117 400.0 CALL$ 。 roll仓方法之一是到期日不变提高行权价,方法之二是选择到期日更近的,比如选择11月底到期350的看涨期权 $TSLA 20241129 350.0 CALL$ 。 两者有点微妙区别,我通常会选第一种。 虽然我上周惯例分享了机构的sell call区间,但是我自己没做sell call,因为我都不记得今年被马斯克爆过几次备兑了。 大家应该都有印象美国独立日特斯拉暴涨,马斯克的面子大过天,既然这位老板这么喜欢发普天同庆大红包那就顺着他呗。 然后不出意外机构上周备兑策略翻车了,含泪割肉,重新买入本周价差,区间是340-375: 卖 $TSLA 20241115 340.0 CALL$ 买 $TSLA 20241115 375.0 CALL$ 我对于本周上限仍持观望态度,没上车的朋友可以考虑sell put,看跌期权的隐含波动率非常高,年化收益率很不错。 根据周五未平仓数据,除了看涨roll仓以及备兑交易外,大部分开仓来自散户零售交易,当周定价尚不稳定,周五收盘价基础上押注远期看涨的不多,但也没有成规模的看跌大单。 在此之前很多sell 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