twj1025
2022-01-20
我觉得利益最大化的做法是这样。
先在高位买put,然后跌到支撑位sell put。
万一跌穿支撑位就可以接盘然后通过高位的put把正股卖出盈利。
不过这套策略肯定是用在看跌的时候。
@期权小班长:
震荡市场的保命期权策略
免责声明:上述内容仅代表发帖人个人观点,不构成本平台的任何投资建议。
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<p>入围奖品是全年免佣卡和台历,台历很实用我就收下了,这个免佣卡就送给大家吧。关注我并评论转发这篇文章就能获得抽奖资格,我用随机抽奖器从评论里抽取一位幸运粉丝送出,时间截止周三22:00。<img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/68204c98791561baf7c91e0c937a5f63\" tg-width=\"1170\" tg-height=\"1305\"></p> <p>好,言归正传,说回盘前行情。我有种时光倒流的感觉,仿佛又回到了上周一。<img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/d4af9dc7a05d8d630f83f48a66affc39\" tg-width=\"1170\" tg-height=\"2383\">唯一区别就是盘前跌幅不如上周一。没什么特别的下跌理由,美国10年国债收益率一度上升至1.855%,创下2020年1月以来新高。科技股普跌,标普跌幅达到1.34%后反弹,欧盟德国指数跌幅差不多。这里暗藏玄机的是,盘前大盘看似在慢慢反弹,但风险资产比特币却一直在探底,很难说谁才是真实的情绪反馈。<img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/b46d562d550bd084cd2255589b190232\" tg-width=\"1170\" tg-height=\"1999\">从经验上来说大盘在这种年级别的支撑位走的很难看,是很正常的,来回触底试探,很难判断上下。去年这种情况下我是空仓看戏度过的,因为无法判断方向,做多做空会遇到当天反转行情,很难挣钱。</p> <p>但是今年就不太一样了,所以我的意见就是不判断上下,继续卡支撑位做sell put。</p> <p>关键是这次sell put,我们再加一个buy put环节,构成一个价差策略,给sell put进行兜底。</p> <p>这也是之前评论区的朋友推荐的策略,当时我为一些接盘的put想止损方案,有朋友在评论区指出了价差策略可以有效应对sell put遇到黑天鹅事件。</p> 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tg-height=\"2383\">唯一区别就是盘前跌幅不如上周一。没什么特别的下跌理由,美国10年国债收益率一度上升至1.855%,创下2020年1月以来新高。科技股普跌,标普跌幅达到1.34%后反弹,欧盟德国指数跌幅差不多。这里暗藏玄机的是,盘前大盘看似在慢慢反弹,但风险资产比特币却一直在探底,很难说谁才是真实的情绪反馈。<img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/b46d562d550bd084cd2255589b190232\" tg-width=\"1170\" tg-height=\"1999\">从经验上来说大盘在这种年级别的支撑位走的很难看,是很正常的,来回触底试探,很难判断上下。去年这种情况下我是空仓看戏度过的,因为无法判断方向,做多做空会遇到当天反转行情,很难挣钱。</p> <p>但是今年就不太一样了,所以我的意见就是不判断上下,继续卡支撑位做sell put。</p> <p>关键是这次sell put,我们再加一个buy put环节,构成一个价差策略,给sell put进行兜底。</p> <p>这也是之前评论区的朋友推荐的策略,当时我为一些接盘的put想止损方案,有朋友在评论区指出了价差策略可以有效应对sell put遇到黑天鹅事件。</p> <p>包括在分享sell put止损策略时,也有朋友问买put可不可以对冲sell put,现在一想,其实这就是后续构建价差策略,那么还不如在一开始就进行这样的操作,更有利可图。</p> <p>比如上周五我卖了<a href=\"https://laohu8.com/OPT/NVDA%2020220121%20250.0%20PUT\" target=\"_blank\">$NVDA 20220121 250.0 PUT$</a>的put,同时买入了<a href=\"https://laohu8.com/OPT/NVDA%2020220121%20240.0%20PUT\" target=\"_blank\">$NVDA 20220121 240.0 PUT$</a>,如果nvda本周收盘在250之上,那么我会获得250put权利金-240put权利金,而当股价大跌,因为买入240put兜底,所以会锁定亏损。</p> <p>具体策略明天进一步讨论,大家可以自己试试。</p></body></html>","text":"说起来在大家的支持下,我获得了2021老虎年度人物,很惭愧,这个奖对于我来说还是很有分量的,之前说好欠大家一套基础课程,现在真的变成了欠债人,要考虑如何慢慢还债了[笑哭] 入围奖品是全年免佣卡和台历,台历很实用我就收下了,这个免佣卡就送给大家吧。关注我并评论转发这篇文章就能获得抽奖资格,我用随机抽奖器从评论里抽取一位幸运粉丝送出,时间截止周三22:00。 好,言归正传,说回盘前行情。我有种时光倒流的感觉,仿佛又回到了上周一。唯一区别就是盘前跌幅不如上周一。没什么特别的下跌理由,美国10年国债收益率一度上升至1.855%,创下2020年1月以来新高。科技股普跌,标普跌幅达到1.34%后反弹,欧盟德国指数跌幅差不多。这里暗藏玄机的是,盘前大盘看似在慢慢反弹,但风险资产比特币却一直在探底,很难说谁才是真实的情绪反馈。从经验上来说大盘在这种年级别的支撑位走的很难看,是很正常的,来回触底试探,很难判断上下。去年这种情况下我是空仓看戏度过的,因为无法判断方向,做多做空会遇到当天反转行情,很难挣钱。 但是今年就不太一样了,所以我的意见就是不判断上下,继续卡支撑位做sell put。 关键是这次sell put,我们再加一个buy put环节,构成一个价差策略,给sell put进行兜底。 这也是之前评论区的朋友推荐的策略,当时我为一些接盘的put想止损方案,有朋友在评论区指出了价差策略可以有效应对sell put遇到黑天鹅事件。 包括在分享sell put止损策略时,也有朋友问买put可不可以对冲sell put,现在一想,其实这就是后续构建价差策略,那么还不如在一开始就进行这样的操作,更有利可图。 比如上周五我卖了$NVDA 20220121 250.0 PUT$的put,同时买入了$NVDA 20220121 240.0 PUT$,如果nvda本周收盘在250之上,那么我会获得250put权利金-240put权利金,而当股价大跌,因为买入240put兜底,所以会锁定亏损。 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