致虚守静
11-18 07:03
这篇文章不错,转发给大家看看
@Yonny:
血的教训:分享两次我最失败的交易
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32%</p>\n<p>大科技:25%</p>\n<p>Crypto:8%</p>\n<p>CN资产:11%</p>\n<p>(整体杠杆率:77%)</p>\n<p>————————————</p>\n<p><a href=\"https://laohu8.com/S/QQQ\">$纳指100ETF(QQQ)$ </a><v-v data-views=\"0\"></v-v> 纳指本周收跌3.1%,主要是因为周五市场收了一根大阴线。虽然补了缺口,算是比较健康的走势,但很难不让人联想到8月初崩盘的惨状…正好上周接受了🐯的采访,有问到最失败的交易,这里就再给大家分享一下,供警示。</p>\n<p>1️⃣ 首先是5月份 <a href=\"https://laohu8.com/S/GME\">$游戏驿站(GME)$ </a><v-v data-views=\"0\"></v-v> 轧空那会儿,我成为燃料的一单sell call,它也是我今年的最大亏损。</p>\n<p class=\"t-img-caption\" style=\"display: flex; flex-direction: column; align-items: center;\"><img src=\"https://static.tigerbbs.com/c49dc5df08ed4707561729548a8616ec\" tg-width=\"1080\" tg-height=\"1362\"><span></span></p>\n<p>复盘这笔操作,我的总结是:看对了方向,但输给了心态。其实如果我能使用sell call spread作为做空手段,并控制好仓位,我当时根本不会亏钱,甚至能赚钱。因为事实证明,这种票疯起来就是直上直下,妥妥A杀…虽然近期<a href=\"https://laohu8.com/S/DJT\">$特朗普媒体科技集团(DJT)$ </a> 轧空的时候,我总算是吸取了教训,通过sc组合做空扳回一城,但游戏驿站这笔交易仍是我今天最大的痛点之一,直接导致了收益率被大盘甩开。</p>\n<p>2️⃣ 另一段当属8月初市场的大暴跌,我狠狠被上了一课…也正是那个时候我遭遇了账户最大的回撤(15%+)。</p>\n<p class=\"t-img-caption\" style=\"display: flex; flex-direction: column; align-items: center;\"><img src=\"https://static.tigerbbs.com/5a3403314ba1bddcbd55c841b9758b02\" tg-width=\"1075\" tg-height=\"1351\"><span></span></p>\n<p>回顾当时的操作,我最错误的地方就在于:在杠杆ETF(如三倍纳指/罗素/半导体等)上面,带杠杆做了卖方……相当于杠上加杠。本以为市场就算暴跌,我也不介意低价满仓杠杆抄底,没想到我高估了自己承受回撤的能力,低估了市场下杀的程度。于是,在单日亏损了11w后,我用真金白银悟出了这张图的道理…</p>\n<p class=\"t-img-caption\" style=\"display: flex; flex-direction: column; align-items: center;\"><img src=\"https://static.tigerbbs.com/9d8783bfbbab0bacb027bc247d19133e\" tg-width=\"1080\" tg-height=\"1648\"><span></span></p>\n<p>3️⃣ 在近期的交易上,我大幅减仓了科技股的delta敞口(主要是通过购买保险实现),并小幅加仓了币股<a href=\"https://laohu8.com/S/COIN\">$Coinbase Global, Inc.(COIN)$ </a><v-v data-views=\"1\"></v-v> 。这个票在11月甚至跑赢了大饼本身和M哥,有后来居上的态势,但由于大饼整体还在高位,我只把仓位回补到了5-6%。</p>\n<p>4️⃣美债<a href=\"https://laohu8.com/S/TLT\">$20+年以上美国国债ETF-iShares(TLT)$ </a> 目前算是我的最大持仓,但也稍微减持了一点点,而且如果它再破新低,我会砍仓所有正股,只保留远期的sp。最近美债承压很严重,因为据说Scott上台成为川普底下的财政部长后,很有可能导致二次通胀。另外这个资产的走势属于左侧区间,宏观政策也不太好把握,所以我大概率会继续减少美债的配置,以免后患。</p>\n<p>————————————</p>\n<p>因为币股的这波上冲,我已经止盈提现一部分资金,降低杠杆率了。下周<span class=\"stock-view-wrapper\"><a href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$ </a> 的财报很关键,静观市场会怎么表现,到时再做应对吧 🙂</span></p></body></html>","htmlText":"<html><head></head><body><p>11月17周日,美股本周收官。</p>\n<p>————————————</p>\n<p>目前持仓情况(以delta敞口计算)</p>\n<p>美债: 32%</p>\n<p>大科技:25%</p>\n<p>Crypto:8%</p>\n<p>CN资产:11%</p>\n<p>(整体杠杆率:77%)</p>\n<p>————————————</p>\n<p><a href=\"https://laohu8.com/S/QQQ\">$纳指100ETF(QQQ)$ </a><v-v data-views=\"0\"></v-v> 纳指本周收跌3.1%,主要是因为周五市场收了一根大阴线。虽然补了缺口,算是比较健康的走势,但很难不让人联想到8月初崩盘的惨状…正好上周接受了🐯的采访,有问到最失败的交易,这里就再给大家分享一下,供警示。</p>\n<p>1️⃣ 首先是5月份 <a href=\"https://laohu8.com/S/GME\">$游戏驿站(GME)$ </a><v-v data-views=\"0\"></v-v> 轧空那会儿,我成为燃料的一单sell call,它也是我今年的最大亏损。</p>\n<p class=\"t-img-caption\" style=\"display: flex; flex-direction: column; align-items: center;\"><img src=\"https://static.tigerbbs.com/c49dc5df08ed4707561729548a8616ec\" tg-width=\"1080\" tg-height=\"1362\"><span></span></p>\n<p>复盘这笔操作,我的总结是:看对了方向,但输给了心态。其实如果我能使用sell call spread作为做空手段,并控制好仓位,我当时根本不会亏钱,甚至能赚钱。因为事实证明,这种票疯起来就是直上直下,妥妥A杀…虽然近期<a href=\"https://laohu8.com/S/DJT\">$特朗普媒体科技集团(DJT)$ </a> 轧空的时候,我总算是吸取了教训,通过sc组合做空扳回一城,但游戏驿站这笔交易仍是我今天最大的痛点之一,直接导致了收益率被大盘甩开。</p>\n<p>2️⃣ 另一段当属8月初市场的大暴跌,我狠狠被上了一课…也正是那个时候我遭遇了账户最大的回撤(15%+)。</p>\n<p class=\"t-img-caption\" style=\"display: flex; flex-direction: column; align-items: center;\"><img src=\"https://static.tigerbbs.com/5a3403314ba1bddcbd55c841b9758b02\" tg-width=\"1075\" tg-height=\"1351\"><span></span></p>\n<p>回顾当时的操作,我最错误的地方就在于:在杠杆ETF(如三倍纳指/罗素/半导体等)上面,带杠杆做了卖方……相当于杠上加杠。本以为市场就算暴跌,我也不介意低价满仓杠杆抄底,没想到我高估了自己承受回撤的能力,低估了市场下杀的程度。于是,在单日亏损了11w后,我用真金白银悟出了这张图的道理…</p>\n<p class=\"t-img-caption\" style=\"display: flex; flex-direction: column; align-items: center;\"><img src=\"https://static.tigerbbs.com/9d8783bfbbab0bacb027bc247d19133e\" tg-width=\"1080\" tg-height=\"1648\"><span></span></p>\n<p>3️⃣ 在近期的交易上,我大幅减仓了科技股的delta敞口(主要是通过购买保险实现),并小幅加仓了币股<a href=\"https://laohu8.com/S/COIN\">$Coinbase Global, Inc.(COIN)$ </a><v-v data-views=\"1\"></v-v> 。这个票在11月甚至跑赢了大饼本身和M哥,有后来居上的态势,但由于大饼整体还在高位,我只把仓位回补到了5-6%。</p>\n<p>4️⃣美债<a href=\"https://laohu8.com/S/TLT\">$20+年以上美国国债ETF-iShares(TLT)$ </a> 目前算是我的最大持仓,但也稍微减持了一点点,而且如果它再破新低,我会砍仓所有正股,只保留远期的sp。最近美债承压很严重,因为据说Scott上台成为川普底下的财政部长后,很有可能导致二次通胀。另外这个资产的走势属于左侧区间,宏观政策也不太好把握,所以我大概率会继续减少美债的配置,以免后患。</p>\n<p>————————————</p>\n<p>因为币股的这波上冲,我已经止盈提现一部分资金,降低杠杆率了。下周<span class=\"stock-view-wrapper\"><a href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$ </a> 的财报很关键,静观市场会怎么表现,到时再做应对吧 🙂</span></p></body></html>","text":"11月17周日,美股本周收官。 ———————————— 目前持仓情况(以delta敞口计算) 美债: 32% 大科技:25% Crypto:8% CN资产:11% (整体杠杆率:77%) ———————————— $纳指100ETF(QQQ)$ 纳指本周收跌3.1%,主要是因为周五市场收了一根大阴线。虽然补了缺口,算是比较健康的走势,但很难不让人联想到8月初崩盘的惨状…正好上周接受了🐯的采访,有问到最失败的交易,这里就再给大家分享一下,供警示。 1️⃣ 首先是5月份 $游戏驿站(GME)$ 轧空那会儿,我成为燃料的一单sell call,它也是我今年的最大亏损。 复盘这笔操作,我的总结是:看对了方向,但输给了心态。其实如果我能使用sell call spread作为做空手段,并控制好仓位,我当时根本不会亏钱,甚至能赚钱。因为事实证明,这种票疯起来就是直上直下,妥妥A杀…虽然近期$特朗普媒体科技集团(DJT)$ 轧空的时候,我总算是吸取了教训,通过sc组合做空扳回一城,但游戏驿站这笔交易仍是我今天最大的痛点之一,直接导致了收益率被大盘甩开。 2️⃣ 另一段当属8月初市场的大暴跌,我狠狠被上了一课…也正是那个时候我遭遇了账户最大的回撤(15%+)。 回顾当时的操作,我最错误的地方就在于:在杠杆ETF(如三倍纳指/罗素/半导体等)上面,带杠杆做了卖方……相当于杠上加杠。本以为市场就算暴跌,我也不介意低价满仓杠杆抄底,没想到我高估了自己承受回撤的能力,低估了市场下杀的程度。于是,在单日亏损了11w后,我用真金白银悟出了这张图的道理… 3️⃣ 在近期的交易上,我大幅减仓了科技股的delta敞口(主要是通过购买保险实现),并小幅加仓了币股$Coinbase Global, Inc.(COIN)$ 。这个票在11月甚至跑赢了大饼本身和M哥,有后来居上的态势,但由于大饼整体还在高位,我只把仓位回补到了5-6%。 4️⃣美债$20+年以上美国国债ETF-iShares(TLT)$ 目前算是我的最大持仓,但也稍微减持了一点点,而且如果它再破新低,我会砍仓所有正股,只保留远期的sp。最近美债承压很严重,因为据说Scott上台成为川普底下的财政部长后,很有可能导致二次通胀。另外这个资产的走势属于左侧区间,宏观政策也不太好把握,所以我大概率会继续减少美债的配置,以免后患。 ———————————— 因为币股的这波上冲,我已经止盈提现一部分资金,降低杠杆率了。下周$英伟达(NVDA)$ 的财报很关键,静观市场会怎么表现,到时再做应对吧 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