不是昵称
2022-03-02
😵
@期权小班长:
本周财报策略:COST、CRM和BILI
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<p>不得不说行情走势确实很影响一个人的交易思路,昨天我预见大盘未来两周可能会有黑天鹅风险,所以理论上围绕着VXX做交易是更理想的选择。但是今天又看了一眼各个股票的双底形态,觉得市场有种生机焕发的感觉。</p> <p>为了未知的黑天鹅错过眼下貌似看涨的市场合不合理呢?</p> <p>当然是不合理的。</p> <p>但是贸然重仓上正股或者直接满仓sell put又有一定风险,所以我把看涨押注在了本周财报上,轻仓买call无论从风险还是成本都是可接受的。</p> <p>首先介绍的是确定性比较强的<a target=\"_blank\" href=\"https://laohu8.com/S/COST\">$好市多(COST)$</a> 财报,公司将于周四盘后财报,利好点在于同类商超<a target=\"_blank\" href=\"https://laohu8.com/S/TGT\">$塔吉特(TGT)$</a> 盘前财报公布后大涨,建议根据大单买入<a href=\"https://laohu8.com/OPT/COST%2020220318%20560.0%20CALL\" target=\"_blank\">$COST 20220318 560.0 CALL$</a> ,然后于周四平仓,合理吃到市场看涨预期。</p> <p>第二家介绍的财报是<a target=\"_blank\" href=\"https://laohu8.com/S/CRM\">$Salesforce(CRM)$</a> ,周二盘后财报,根据大单异动选出<a href=\"https://laohu8.com/OPT/CRM%2020220414%20260.0%20CALL\" target=\"_blank\">$CRM 20220414 260.0 CALL$</a>,也就是说这张期权要拿到财报公布,但胜在价格便宜,亏了也没多少钱。预计COST期权利润可以覆盖。<img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/f1251952a7302785c71ef1cc62de76ed\" tg-width=\"1170\" tg-height=\"1505\"><img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/5c4f0272e7f0fb24b45dbbfcfa56abfe\" tg-width=\"1170\" tg-height=\"2324\"></p> <p>最后是<a target=\"_blank\" href=\"https://laohu8.com/S/BILI\">$哔哩哔哩(BILI)$</a> 周四盘后财报,异动偏向跨式,大单异动分别是<a href=\"https://laohu8.com/OPT/BILI%2020220304%2028.0%20PUT\" target=\"_blank\">$BILI 20220304 28.0 PUT$</a> <a href=\"https://laohu8.com/OPT/BILI%2020220304%2037.0%20CALL\" target=\"_blank\">$BILI 20220304 37.0 CALL$</a>。我个人偏向于像COST一样操作,买下周到期的call<a href=\"https://laohu8.com/OPT/BILI%2020220311%2035.0%20CALL\" target=\"_blank\">$BILI 20220311 35.0 CALL$</a>然后周四平仓。<img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/7133bd938b4b63e35427fc88c52163fa\" tg-width=\"1007\" tg-height=\"2074\"><img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/902f792f63759d53373774582c58976b\" tg-width=\"1170\" tg-height=\"1363\"></p> <p>小赌,切记轻仓。</p></body></html>","htmlText":"<html><head></head><body><p>分析过后得出一个离谱的结论:本周偏向买call。</p> <p>不得不说行情走势确实很影响一个人的交易思路,昨天我预见大盘未来两周可能会有黑天鹅风险,所以理论上围绕着VXX做交易是更理想的选择。但是今天又看了一眼各个股票的双底形态,觉得市场有种生机焕发的感觉。</p> <p>为了未知的黑天鹅错过眼下貌似看涨的市场合不合理呢?</p> <p>当然是不合理的。</p> <p>但是贸然重仓上正股或者直接满仓sell put又有一定风险,所以我把看涨押注在了本周财报上,轻仓买call无论从风险还是成本都是可接受的。</p> <p>首先介绍的是确定性比较强的<a target=\"_blank\" href=\"https://laohu8.com/S/COST\">$好市多(COST)$</a> 财报,公司将于周四盘后财报,利好点在于同类商超<a target=\"_blank\" href=\"https://laohu8.com/S/TGT\">$塔吉特(TGT)$</a> 盘前财报公布后大涨,建议根据大单买入<a href=\"https://laohu8.com/OPT/COST%2020220318%20560.0%20CALL\" target=\"_blank\">$COST 20220318 560.0 CALL$</a> ,然后于周四平仓,合理吃到市场看涨预期。</p> <p>第二家介绍的财报是<a target=\"_blank\" href=\"https://laohu8.com/S/CRM\">$Salesforce(CRM)$</a> ,周二盘后财报,根据大单异动选出<a href=\"https://laohu8.com/OPT/CRM%2020220414%20260.0%20CALL\" target=\"_blank\">$CRM 20220414 260.0 CALL$</a>,也就是说这张期权要拿到财报公布,但胜在价格便宜,亏了也没多少钱。预计COST期权利润可以覆盖。<img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/f1251952a7302785c71ef1cc62de76ed\" tg-width=\"1170\" tg-height=\"1505\"><img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/5c4f0272e7f0fb24b45dbbfcfa56abfe\" tg-width=\"1170\" tg-height=\"2324\"></p> <p>最后是<a target=\"_blank\" href=\"https://laohu8.com/S/BILI\">$哔哩哔哩(BILI)$</a> 周四盘后财报,异动偏向跨式,大单异动分别是<a href=\"https://laohu8.com/OPT/BILI%2020220304%2028.0%20PUT\" target=\"_blank\">$BILI 20220304 28.0 PUT$</a> <a href=\"https://laohu8.com/OPT/BILI%2020220304%2037.0%20CALL\" target=\"_blank\">$BILI 20220304 37.0 CALL$</a>。我个人偏向于像COST一样操作,买下周到期的call<a href=\"https://laohu8.com/OPT/BILI%2020220311%2035.0%20CALL\" target=\"_blank\">$BILI 20220311 35.0 CALL$</a>然后周四平仓。<img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/7133bd938b4b63e35427fc88c52163fa\" tg-width=\"1007\" tg-height=\"2074\"><img referrerpolicy=\"no-referrer\" src=\"https://static.tigerbbs.com/902f792f63759d53373774582c58976b\" tg-width=\"1170\" tg-height=\"1363\"></p> <p>小赌,切记轻仓。</p></body></html>","text":"分析过后得出一个离谱的结论:本周偏向买call。 不得不说行情走势确实很影响一个人的交易思路,昨天我预见大盘未来两周可能会有黑天鹅风险,所以理论上围绕着VXX做交易是更理想的选择。但是今天又看了一眼各个股票的双底形态,觉得市场有种生机焕发的感觉。 为了未知的黑天鹅错过眼下貌似看涨的市场合不合理呢? 当然是不合理的。 但是贸然重仓上正股或者直接满仓sell put又有一定风险,所以我把看涨押注在了本周财报上,轻仓买call无论从风险还是成本都是可接受的。 首先介绍的是确定性比较强的$好市多(COST)$ 财报,公司将于周四盘后财报,利好点在于同类商超$塔吉特(TGT)$ 盘前财报公布后大涨,建议根据大单买入$COST 20220318 560.0 CALL$ ,然后于周四平仓,合理吃到市场看涨预期。 第二家介绍的财报是$Salesforce(CRM)$ ,周二盘后财报,根据大单异动选出$CRM 20220414 260.0 CALL$,也就是说这张期权要拿到财报公布,但胜在价格便宜,亏了也没多少钱。预计COST期权利润可以覆盖。 最后是$哔哩哔哩(BILI)$ 周四盘后财报,异动偏向跨式,大单异动分别是$BILI 20220304 28.0 PUT$ $BILI 20220304 37.0 CALL$。我个人偏向于像COST一样操作,买下周到期的call$BILI 20220311 35.0 CALL$然后周四平仓。 小赌,切记轻仓。","highlighted":2,"essential":2,"paper":2,"link":"https://laohu8.com/post/632082550","repostId":0,"isVote":1,"tweetType":1,"commentLimit":10,"symbols":["TGT","COST","BILI","CRM"],"verified":2,"subType":0,"readableState":1,"langContent":"CN","currentLanguage":"CN","warmUpFlag":false,"orderFlag":false,"shareable":true,"causeOfNotShareable":"","featuresForAnalytics":[],"commentAndTweetFlag":false,"upFlag":false,"length":990,"xxTargetLangEnum":"ZH_CN"},"isVote":1,"tweetType":1,"viewCount":809,"commentLimit":10,"likeStatus":false,"favoriteStatus":false,"reportStatus":false,"symbols":[],"verified":2,"subType":0,"readableState":1,"langContent":"CN","currentLanguage":"CN","warmUpFlag":false,"orderFlag":false,"shareable":true,"causeOfNotShareable":"","featuresForAnalytics":[],"commentAndTweetFlag":false,"upFlag":false,"length":2,"xxTargetLangEnum":"ZH_CN"},"commentList":[],"isCommentEnd":true,"isTiger":false,"isWeiXinMini":false,"url":"/m/post/632076731"}
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