lionking69
2022-01-19
Great ariticle, would you like to share it?
@期权小班长:
行情持续看涨,继续捡硬币策略。
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href=\"https://laohu8.com/OPT/NVDA%2020220121%20240.0%20PUT\" target=\"_blank\">$NVDA 20220121 240.0 PUT$</a></td> \n <td>8.8%</td> \n <td>2022/1/21</td> \n <td>240</td> \n <td>0.67</td> \n <td>57%</td> \n </tr> \n <tr> \n <td><a href=\"https://laohu8.com/OPT/AMD%2020220121%20120.0%20PUT\" target=\"_blank\">$AMD 20220121 120.0 PUT$</a></td> \n <td>11.9%</td> \n <td>2022/1/21</td> \n <td>120</td> \n <td>0.45</td> \n <td>57%</td> \n </tr> \n <tr> \n <td><a href=\"https://laohu8.com/OPT/NFLX%2020220121%20460.0%20PUT\" target=\"_blank\">$NFLX 20220121 460.0 PUT$</a></td> \n <td>13.0%</td> \n <td>2022/1/21</td> \n <td>460</td> \n <td>1.92</td> \n <td>68%</td> \n </tr> \n </tbody> \n</table> <p>今天跑出来四个数据,<a href=\"https://laohu8.com/S/NFLX\">$Netflix, Inc.(NFLX)$</a> 是之前放进池子里的,因为算是fanng概念股。但我对奈飞的形态有点pdst,这种走势有点像上季度的阿里,万一跌了接盘很有风险,不太适合做sell put,虽然我也承认这个价位确实是支撑位,但数据仅供参考,不推荐交易。</p> <p><a href=\"https://laohu8.com/S/TSLA\">$特斯拉(TSLA)$</a> 大盘反弹,特斯拉也反弹,目前来看900的行权价价位比较安全。我自己打算继续持有周一卖出的850put到周五。</p> <p><a href=\"https://laohu8.com/S/AMD\">$AMD(AMD)$</a> 假如明天<a href=\"https://laohu8.com/S/TSM\">$台积电(TSM)$</a> 财报高开那么所有芯片股肯定都会跟涨,这个价格很安全,比较保守,仅供参考。</p> <p><a href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$</a> 同上,240也是很安全的价位,仅供参考。</p> <p>关于期权到了行权价位怎么办又有了一点心得可以分享。</p> <p>昨天生病了本来不想折腾,奈何上周卖出的英伟达到了行权价位270,就想着怎么操作一番防止接盘。但大盘和英伟达都到了关键支撑位,多空争夺十分激烈,为了对冲put,正股买进卖出不下五六次,这晚上要睡觉了可怎么办?<img src=\"https://static.tigerbbs.com/83059c2d6083733d7c85d258dac9b96d\" tg-width=\"-1\" tg-height=\"-1\">此时除了正股对冲之外,还可以选择roll远期、买put、或者卖call,但面对剧烈波动都有不同的收益和风险,很难抉择。后来越来越困,我就索性躺平了,想到其实还有一种选择,就是先让大盘和英伟达决出胜负我再考虑,270接盘就接呗,反正是英伟达。正股其实是接盘风险最重要的考量,从盘后情况看,对于权重股来说支撑位还是很稳健的。虽然接盘对冲试验没有达到预想效果,不过也不能说完全没有收获。</p></body></html>","htmlText":"<html><head></head><body><p>今天公布的通胀数据不好看,但不影响行情持续看涨。</p> <p>美国12月未季调CPI同比上涨7%,续创1982年6月以来新高。高是挺高的,但仍在预期之内,这就挺好。不刺激到美联储进行额外的操作,市场就能松口气。</p> <p>不过更直接的观点是这个点位再不反弹就真的要跌下去了。</p> <p>今日卖put池:</p> <table> \n <colgroup></colgroup> \n <tbody> \n <tr> \n <td>标的代码</td> \n <td>年化收益</td> \n <td>到期日</td> \n <td>行权价</td> \n <td>权利金</td> \n <td>隐含波动率</td> \n </tr> \n <tr> \n <td><a href=\"https://laohu8.com/OPT/TSLA%2020220121%20900.0%20PUT\" target=\"_blank\">$TSLA 20220121 900.0 PUT$</a></td> \n <td>13.5%</td> \n <td>2022/1/21</td> \n <td>900</td> \n <td>3.95</td> \n <td>70%</td> \n </tr> \n <tr> \n <td><a href=\"https://laohu8.com/OPT/NVDA%2020220121%20240.0%20PUT\" target=\"_blank\">$NVDA 20220121 240.0 PUT$</a></td> \n <td>8.8%</td> \n <td>2022/1/21</td> \n <td>240</td> \n <td>0.67</td> \n <td>57%</td> \n </tr> \n <tr> \n <td><a href=\"https://laohu8.com/OPT/AMD%2020220121%20120.0%20PUT\" target=\"_blank\">$AMD 20220121 120.0 PUT$</a></td> \n <td>11.9%</td> \n <td>2022/1/21</td> \n <td>120</td> \n <td>0.45</td> \n <td>57%</td> \n </tr> \n <tr> \n <td><a href=\"https://laohu8.com/OPT/NFLX%2020220121%20460.0%20PUT\" target=\"_blank\">$NFLX 20220121 460.0 PUT$</a></td> \n <td>13.0%</td> \n <td>2022/1/21</td> \n <td>460</td> \n <td>1.92</td> \n <td>68%</td> \n </tr> \n </tbody> \n</table> <p>今天跑出来四个数据,<a href=\"https://laohu8.com/S/NFLX\">$Netflix, Inc.(NFLX)$</a> 是之前放进池子里的,因为算是fanng概念股。但我对奈飞的形态有点pdst,这种走势有点像上季度的阿里,万一跌了接盘很有风险,不太适合做sell put,虽然我也承认这个价位确实是支撑位,但数据仅供参考,不推荐交易。</p> <p><a href=\"https://laohu8.com/S/TSLA\">$特斯拉(TSLA)$</a> 大盘反弹,特斯拉也反弹,目前来看900的行权价价位比较安全。我自己打算继续持有周一卖出的850put到周五。</p> <p><a href=\"https://laohu8.com/S/AMD\">$AMD(AMD)$</a> 假如明天<a href=\"https://laohu8.com/S/TSM\">$台积电(TSM)$</a> 财报高开那么所有芯片股肯定都会跟涨,这个价格很安全,比较保守,仅供参考。</p> <p><a href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$</a> 同上,240也是很安全的价位,仅供参考。</p> <p>关于期权到了行权价位怎么办又有了一点心得可以分享。</p> <p>昨天生病了本来不想折腾,奈何上周卖出的英伟达到了行权价位270,就想着怎么操作一番防止接盘。但大盘和英伟达都到了关键支撑位,多空争夺十分激烈,为了对冲put,正股买进卖出不下五六次,这晚上要睡觉了可怎么办?<img src=\"https://static.tigerbbs.com/83059c2d6083733d7c85d258dac9b96d\" tg-width=\"-1\" tg-height=\"-1\">此时除了正股对冲之外,还可以选择roll远期、买put、或者卖call,但面对剧烈波动都有不同的收益和风险,很难抉择。后来越来越困,我就索性躺平了,想到其实还有一种选择,就是先让大盘和英伟达决出胜负我再考虑,270接盘就接呗,反正是英伟达。正股其实是接盘风险最重要的考量,从盘后情况看,对于权重股来说支撑位还是很稳健的。虽然接盘对冲试验没有达到预想效果,不过也不能说完全没有收获。</p></body></html>","text":"今天公布的通胀数据不好看,但不影响行情持续看涨。 美国12月未季调CPI同比上涨7%,续创1982年6月以来新高。高是挺高的,但仍在预期之内,这就挺好。不刺激到美联储进行额外的操作,市场就能松口气。 不过更直接的观点是这个点位再不反弹就真的要跌下去了。 今日卖put池: 标的代码 年化收益 到期日 行权价 权利金 隐含波动率 $TSLA 20220121 900.0 PUT$ 13.5% 2022/1/21 900 3.95 70% $NVDA 20220121 240.0 PUT$ 8.8% 2022/1/21 240 0.67 57% $AMD 20220121 120.0 PUT$ 11.9% 2022/1/21 120 0.45 57% $NFLX 20220121 460.0 PUT$ 13.0% 2022/1/21 460 1.92 68% 今天跑出来四个数据,$Netflix, Inc.(NFLX)$ 是之前放进池子里的,因为算是fanng概念股。但我对奈飞的形态有点pdst,这种走势有点像上季度的阿里,万一跌了接盘很有风险,不太适合做sell put,虽然我也承认这个价位确实是支撑位,但数据仅供参考,不推荐交易。 $特斯拉(TSLA)$ 大盘反弹,特斯拉也反弹,目前来看900的行权价价位比较安全。我自己打算继续持有周一卖出的850put到周五。 $AMD(AMD)$ 假如明天$台积电(TSM)$ 财报高开那么所有芯片股肯定都会跟涨,这个价格很安全,比较保守,仅供参考。 $英伟达(NVDA)$ 同上,240也是很安全的价位,仅供参考。 关于期权到了行权价位怎么办又有了一点心得可以分享。 昨天生病了本来不想折腾,奈何上周卖出的英伟达到了行权价位270,就想着怎么操作一番防止接盘。但大盘和英伟达都到了关键支撑位,多空争夺十分激烈,为了对冲put,正股买进卖出不下五六次,这晚上要睡觉了可怎么办?此时除了正股对冲之外,还可以选择roll远期、买put、或者卖call,但面对剧烈波动都有不同的收益和风险,很难抉择。后来越来越困,我就索性躺平了,想到其实还有一种选择,就是先让大盘和英伟达决出胜负我再考虑,270接盘就接呗,反正是英伟达。正股其实是接盘风险最重要的考量,从盘后情况看,对于权重股来说支撑位还是很稳健的。虽然接盘对冲试验没有达到预想效果,不过也不能说完全没有收获。","highlighted":2,"essential":2,"paper":2,"link":"https://laohu8.com/post/694267282","repostId":0,"isVote":1,"tweetType":1,"commentLimit":10,"symbols":["NVDA","TSLA","TSM","NFLX","AMD"],"verified":2,"subType":0,"readableState":1,"langContent":"CN","currentLanguage":"CN","warmUpFlag":false,"orderFlag":false,"shareable":true,"causeOfNotShareable":"","featuresForAnalytics":[],"commentAndTweetFlag":false,"andRepostAutoSelectedFlag":false,"upFlag":false,"length":1538,"xxTargetLangEnum":"ZH_CN"},"isVote":1,"tweetType":1,"viewCount":287,"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,"andRepostAutoSelectedFlag":false,"upFlag":false,"length":36,"xxTargetLangEnum":"ZH_CN"},"commentList":[],"isCommentEnd":true,"isTiger":false,"isWeiXinMini":false,"url":"/m/post/697767348"}
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