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道琼斯指数
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iPhone 8
道琼斯指数
纳斯达克综合指数
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iPhone 8
纳斯达克综合指数
标普500指数
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iPhone 8
标普500指数
恒生指数
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iPhone 8
恒生指数
富时新加坡海峡指数
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iPhone 8
富时新加坡海峡指数
标普/澳交所200指数
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iPhone 8
标普/澳交所200指数
8,794
joshyhy
·
2024-10-24
$特斯拉(TSLA)$
$TSLA 20241025 250.0 CALL$
赌对了
$特斯拉(TSLA)$ $TSLA 20241025 250.0 CALL$ 赌对了
# 晒晒更赚钱
精彩
nicegame:
建议专业的事还是交给我这专业的来做
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Eva8812
·
2024-10-24
$TSLA 20250620 470.0 CALL$
还好前几天进了一些,不错不错
$TSLA 20250620 470.0 CALL$ 还好前几天进了一些,不错不错
# 晒晒更赚钱
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哆頭散幹的ZHAO
·
2024-10-25
$TSLA 20241108 285.0 CALL$
陪老马一起疯了这么些年大多都是挺有意思的
$TSLA 20241108 285.0 CALL$ 陪老马一起疯了这么些年大多都是挺有意思的
# 晒晒更赚钱
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编组 21备份 2
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1.16万
Jesse Harashya
·
2024-10-24
$TSLL 20250117 13.73 CALL$
感恩马斯克的红包
@爱发红包的虎妞
$TSLL 20250117 13.73 CALL$ 感恩马斯克的红包 @爱发红包的虎妞
# 晒晒更赚钱
精彩
Yonny:
成本也太低了吧。。是有做摊平成本计算吗
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3
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1.16万
爱投资的小熊猫
·
2024-10-25
地平线机器人,养肥了再杀!国配砸盘从30%到2.76%,只为敲钟时刻好看点——(09660.HK) 新股配售情况
超级火爆的华润饮料国配24.47倍,上市首日上涨15%,给市场带来生机,
$地平线机器人-W(09660)$
机构抢货,国配也超过13倍,暗盘大涨25%。 这票又是来了一个高开低走!国配对冲基金砸盘!上天遁地,从涨30%到只剩下2.76%!首日也是高开28%,基本上是延续了昨天暗盘的情绪,开盘之后。只冲高上涨了5分钟,从那以后就开始一路往下掉,然后横盘至11:18分,从这以后就开始跳水了,一直跌的尾盘从30%的涨幅跌至只有2.76%.,成交接近23个亿。 光是11:20的那一波砸盘就已经砸掉7个亿了,从卖盘席位上来看,主要还是小摩和中信的国配席位带头砸盘的,也怪不得上市之前媒体鼓吹的厉害,让散户高位去接盘才是真的,这票只回拨了15%,不回拨的情况也就10%,散户的货不多,按理说如果是为了洗掉散户不至于这么砸盘的,从高位30%砸到不到3%,大概率应该还是对冲基金砸盘了。 之前就讲过 很多新股在开盘10分钟里,表现都很不错,甚至能走得很强。因为公司上市敲钟的那个时候,媒体是拍照拍的最多的时候,所以那个时候的股价一般都不会太难看,毕竟有些上市公司老板还是挺要面子的,如果股价太难看,大股东们面子上都过不去,尤其是开盘前10分钟,媒体都是在那段时间各种拍照的,如果公司股价张得比较好的话,大屏幕背景板也都特别有面子。 卡罗特和地平线开盘走势几乎一模一样,都是开盘涨4分钟就开始下跌走势了!走完了敲钟攻势之后就谢了,基本上只为敲钟上市的时刻好看点了。 地平线的评论区吹票的是不少,尤其是不懂行业的乱吹的,比如这个说地平线在国产智驾芯片里,那算是老大,那遥遥领先的华为脸面何在?华为芯片都是自研的,地平线芯片只能在低端车型里跑一跑,评论区吹的明显有点过了。 我们来看看地平线机器人-W (09660.HK)
地平线机器人,养肥了再杀!国配砸盘从30%到2.76%,只为敲钟时刻好看点——(09660.HK) 新股配售情况
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Buy_Sell
·
2024-10-25
🔥【10月25日】特斯拉创11年最大单日涨幅!标普结束连跌,你抓住机会了吗?
本周五(10月25日),美股三大指数涨跌不一,道指连续四个交易日下跌,为6月以来首次,标普500指数小幅上涨,结束了连续三天的下跌。截至收盘,道琼斯指数跌0.33%,报42,374.36点;标普500指数涨0.21%,报5,809.86点;纳斯达克指数涨0.76%,报18,415.49点。【热门股表现】科技七姐妹”涨多跌少。
亚马逊
收涨0.9%,
Meta Platforms, Inc.
收涨0.73%。 英伟达 收涨0.61%,英伟达与多家印度科技巨头达成AI基建共建合作,黄仁勋称印度将成为AI出口国。
微软
收涨0.03%,而
谷歌A
收跌0.04%,英国反垄断监管部门正式调查谷歌对Anthropic AI的投资行为。 苹果 收跌0.08%,下周苹果发三款M4芯片Mac新品,明年或完成Mac所有机型升级。特斯拉收涨21.92%,特斯拉提高2024年全年资本支出预期,公司三季度盈利超预期,带来逾十一年最佳单日表现,马斯克净值单日增加335亿美元。【中概股】热门中概股普跌, 阿里巴巴 跌1.67%,京东跌1.68%,拼多多跌0.78%,蔚来跌4.05%,小鹏汽车跌6.18%,理想汽车涨1.22%,
哔哩哔哩
跌2.11%,
🔥【10月25日】特斯拉创11年最大单日涨幅!标普结束连跌,你抓住机会了吗?
# 今天什么值得买?晒晒你的交易计划!
精彩
AliceSam:
$老虎证券(TIGR)$ 加油!
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编组 21备份 2
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等待鳄鱼
·
2024-10-25
$特斯拉(TSLA)$
末日 call也是卖飞了[笑哭] 大腿拍断,以特斯拉的大波动能拿到收盘,手动平仓的,几乎没有吧,但是看收盘还有那么多没有平仓,应该是等自动行权了 特斯拉期权成交了 500 多万张,散户需求越多,做市商供给增多,做市商为了降低敞口保持一定中性,正股的需求直接增多大量买入正股,这样正股与 call就互为加速器了 据说 9 月底 A50 爆拉期间,香港的很多家小券商卖给客户的期权自身没有对冲,直接没法兑付,涉及资金 200多亿,都去香港维权了。不管资金大小,平台的安全性是第一位,像这种情况即使赚到了也是一分拿不到照样是大腿拍断。从这个角度来看,
$老虎证券(TIGR)$
未来可期,低位继续接筹码
$特斯拉(TSLA)$ 末日 call也是卖飞了[笑哭] 大腿拍断,以特斯拉的大波动能拿到收盘,手动平仓的,几乎没有吧,但是看收盘还有那么多没有平仓,应该...
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编组 21备份 2
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FX168财经视频栏目
·
2024-10-25
arm下达60天“逐客令” 高通(QCOM)芯片之路面临绝境?
美国股市周四(10月24日)收盘涨跌不一,不过特斯拉跳涨超过20%后给大盘还是带来了一些支撑,标普500指数三连跌后终于迎来了反弹。个股方面,今天我们可以来聊聊arm和高通的争端,因为最近看到有消息显示,arm正计划取消与高通之间的芯片设计许可协议,这令高通的投资者一度恐慌。
arm下达60天“逐客令” 高通(QCOM)芯片之路面临绝境?
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中中聊财经
·
2024-10-25
【新股分析】德翔海运申购策略
$德翔海运(02510)$
德翔海运(02510.HK)已于10月24日开启申购,10月29日截止申购,预期11月1日上市,招股价在3.5~4.5港元之间,最小申购金额为4545.38港元,是否值得申购,具体分析如下: 一、行业与市场地位 德翔海运是一家专注于亚太地区的货柜航运公司,具有一定的市场地位。根据德路里报告,德翔海运在专注于亚太地区的货柜航运公司中排名第六,全球排名第21。这意味着该公司在行业内有一定的竞争力,但同时也要注意全球航运市场的波动性和不确定性。 二、财务状况 德翔海运计划募集的资金主要用于船舶购置和租赁,这表明公司希望通过扩大船队规模来进一步巩固其市场地位。投资者应关注公司的财务健康状况,包括负债水平、现金流状况以及利润率等指标。 三、基石投资者 德翔海运引入了6名基石投资者,其中包括和记港口等知名机构和个人投资者,这通常可以被视为对公司发展前景的一种认可。基石投资者的存在可能有助于稳定股价,并为公司的长期发展提供支持。 四、发行价格 每股发售价区间为3.50港元至4.50港元,按中间价计算,即每股4.00港元,投资者可以根据自身的风险承受能力和对航运行业的看法决定是否申购。通常来说,较低的价格可能意味着更大的上涨空间,但也需注意行业周期性的影响。 五、申购策略建议 1、分散投资:鉴于航运业的风险性较高,建议投资者不要将所有资金集中在单一股票上,可以适当分散投资以降低风险。 2、关注行业动态:航运业受全球经济状况影响较大,投资者应当密切关注国际贸易政策变化、全球经济增长趋势等因素。 3、长期持有:考虑到德翔海运的扩张计划,如果看好公司未来的发展潜力,可以选择长期持有而不是短期投机。 4、风险管理:设置止损点,避免因市场波动而造成的重大损失。 六、结论 德翔海运作为一家有增
【新股分析】德翔海运申购策略
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哆頭散幹的ZHAO
·
2024-10-25
$特斯拉(TSLA)$
从趋势判断特斯拉还会继续涨,如果选择不操作,一定概率周五行权下周空仓错过趋势,而操作的风险是不管什么策略都是看涨,那回调打击就是双倍。 所以相比直接买股票我还是选择了sell put,现阶段占用保证金少点还能薅时间价值。但行权价不能选太低,要不然没意义。 行权价选择260,即机构认为的下周上限价格。 如果周五股价回调到250以下,即股票没被行权,我也打算将股票平仓然后接盘260,看起来很像高位接盘,但实际持仓成本是260-权利金。 此策略最大的缺点是,只能吃到260以下的利润,如果本周股价直奔280而去,那只能等回调了。 跟特斯拉相处这么多年大家也都习惯了,涨的有多高跌的有多惨,跌的有多惨涨的就有多高。 此事机构亦了然。今晚除了备兑roll仓,还有单腿看涨大单roll仓,行权价一点没变,还是240:
$特斯拉(TSLA)$ 从趋势判断特斯拉还会继续涨,如果选择不操作,一定概率周五行权下周空仓错过趋势,而操作的风险是不管什么策略都是看涨,那回调打击就是双...
精彩
卡皮巴投:
赞👍行权价选择得当
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上海滩股
·
2024-10-25
$特斯拉(TSLA)$
喜大普奔啦.恭喜大家发财. 财报交流会: “ 预计FSD所实现的无干预驾驶里程将超过人类,可能在明年第二季度达到这一里程碑,也可能延迟到第三季度。目前FSD的使用量急剧增加,预计到明年将实现现有车型的完全自动驾驶。” 现在是L2级别啊.不要说明年,就是2026年能达到,车子至少要涨3-5倍.问题是他已经说了4年了,这次是准的吗?
$特斯拉(TSLA)$ 喜大普奔啦.恭喜大家发财. 财报交流会: “ 预计FSD所实现的无干预驾驶里程将超过人类,可能在明年第二季度达到这一里程碑,也可能...
精彩
特斯拉熄火夫斯基:
这次车子看到多少?
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期权小班长
·
2024-10-24
特斯拉:下一周目标260
$特斯拉(TSLA)$
特斯拉财报后机构进行了看涨备兑roll仓,平仓232.5-252.5,roll仓262.5-282.5:卖
$TSLA 20241101 262.5 CALL$
买
$TSLA 20241101 282.5 CALL$
因为有爆仓前科所以我上周sell call行权价选了250,也就是机构备兑策略做对冲那条腿的行权价,事实证明谨慎还是有好处的,本周被行权也不会太心疼。问题是现有股票被行权,那下周持仓咋办?根据机构备兑行权价,财报后特斯拉股价大概率会冲击260,小概率冲击280。但根据之前经验这个小概率并不小,此时还是持股更划算,问题是如何上车。我选择是做260sell put:卖出
$TSLA 20241025 260.0 PUT$
从趋势判断特斯拉还会继续涨,如果选择不操作,一定概率周五行权下周空仓错过趋势,而操作的风险是不管什么策略都是看涨,那回调打击就是双倍。所以相比直接买股票我还是选择了sell put,现阶段占用保证金少点还能薅时间价值。但行权价不能选太低,要不然没意义。行权价选择260,即机构认为的下周上限价格。如果周五股价回调到250以下,即股票没被行权,我也打算将股票平仓然后接盘260,看起来很像高位接盘,但实际持仓成本是260-权利金。此策略最大的缺点是,
特斯拉:下一周目标260
# 期权Q&A:期权知识,你问我答
精彩
沧海一粟涛涛:
看不懂卖出行权价260美元Put的操作。这基本没有溢价,跟特斯拉正股有什么区别。而且如果收益是有极限的,最多就是赚取权利金。还不如买正股痛快,如果看好,加点杠杆更爽了
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二套房研究员
·
2024-10-24
这只ETF,完美避开MAG7
美股高集中度一直以来是一个潜在风险。为了分散这种风险,有家公司本周推出了一只ETF追踪美国大型股,但针对性地排除了科技巨头七姐妹“Magnificent Seven”。 10月23日,Defiance ETFs推出了Defiance Large Cap Ex-Magnificent Seven ETF(XMAG),跟踪BITA US 500 ex-Magnificent 7 Index。 这个指数包含了美国最大的500家上市公司,必须在纽交所或纳斯达克上市,并且在过去三个月内平均每天的交易量至少为100万美元。 而这个指数的最大特点是不包括七家科技巨头:苹果、微软、Alphabet、亚马逊、英伟达、Meta和特斯拉。 XMAG为那些希望在大型股中寻找投资机会,同时又希望避免过度集中于特定科技股的投资者提供了一个新的选择。 XMAG持有491家公司,集中度较低,前十大持仓占比总和约为16%。第一大持仓是博通,前十大持仓还包括礼来、摩根大通、伯克希尔、埃克森美孚等美国巨头。 XMAG的费率为0.35%,在同类产品中属于中等水平。 XMAG的推出与Roundhill Magnificent Seven ETF(MAGS)形成了鲜明对比。MAGS专注于投资于七家科技巨头,自2023年4月推出以来,已经吸引了7.8亿美元的资金。MAGS的表现也非常强劲,一年总回报率达到63%。
$特斯拉(TSLA)$
$英伟达(NVDA)$
$Defiance Large Cap ex-Mag 7 ETF(XMAG)$
这只ETF,完美避开MAG7
精彩
哈里吨冲击:
除去七家科技巨头的这只ETF确实是个不错的选择,可以帮助投资者分散风险
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期权异动观察
·
2024-10-24
热门股covered call 量化策略【10月24日】
卖备兑看涨期权(sell covered call),是很多大的基金采用的策略,美股散户也可以借鉴该策略。您可以在持有股票的同时获得收益。 策略执行方法是,持有或买入股票,卖出股票相对应的看涨期权。这个策略适合长期持有某些近期横盘不动或者有利空消息的股票的投资者,通过做备兑,对冲一下风险,可能会获得额外收益。 小涨多赚钱,不涨多赚钱,下跌少亏钱。只有股票暴涨时不推荐做备兑。所以在长期持有一些标的时滚动做备兑,对成熟投资者,可能是一个很好的策略。 收益对比 假设2021年1月1日到12月17日期间投资者持有亚马逊 200股股票 持有期间如果无操作,则最后的总资产为675484美元 持有期间如果进行covered call策略,每周操作一次;如果行权卖出100股股票后,下一个交易日再买入100股。最后的总资产为728898美元。 Covered Call策略:卖出看涨期权池(仅供参考) 期权代码 标的代码 到期日 行权价 权利金 隐含波动率 年化收益率
$NVDA 20241101 149.0 call$
NVDA 2024/11/01 149.0 1.170000 0.480000 34.00%
$TIGR 20241101 9.0 call$
TIGR 2024/11/01 9.0 0.080000 1.630000 53.63%
热门股covered call 量化策略【10月24日】
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芝士虎
·
2024-10-24
行情难做?不妨用ETF网格交易法提高收益!
虎友,你好~最近的行情对于很多喜欢交易的虎友来说并不友好。纳指,标普500屡创新高,但昂贵的估值却让人望而却步;中概在历经盘整后,似乎又发起冲锋,但是政策的变化和前期获利盘的逃离,又让人犹豫不决。那有没有一种不那么操心,大概率“躺赢”指数的方法呢?有!今天芝士虎就来跟你说说「网格交易」有多香!一、什么是网格交易?简单来说,网格交易=低吸高抛,的一种方法。先选好标的,买入一定的底仓,设定一个价格波动区间(最低价~最高价),并且把波动区间分为N等分(差价),价格每跌一个差价就买入一份,价格每上涨一个差价就卖出一份,反复低吸高抛,赚取波段差价。网格法利用价格波动形态的特性,像铺开“渔网”一样捕捉区间内的瞬息机会。优势:克制人性中贪婪、恐惧和侥幸心理等弱点。同时,在震荡行情中十分有效,震荡越多,获利越多。劣势:在单边行情中,它存在一定的风险(俗称“破网”)。在单边下跌时,可能会早早的满仓,持续亏损,动弹不得,所以运行之前一定要做压力测试。在大牛市中,却会很快卖空,资金使用率很低,收益跑不过大盘。所以,网格交易的只适合场景震荡市,在大熊和大牛中,可能存在破网风险。二、网格交易策略1、确定你的网格标的网格交易策略最适合的品种,最好具备周期性和波动性,二者可能存在一定的冲突。例如,主流的大宽基指数常年在某个点位区间震荡,具备较好的周期性,但指数实际波动率相对于行业指数而言低很多。综合来看,兼具周期属性和一定波动性的品种,更加适合作为网格交易策略的标的。2、设定你的网格区间设定网格区间的核心目的是:控制风险,游刃有余。投资标的波动性大,极端行情下网格可能失效,因此我们需要边界。当价格冲出这个“安全网”,策略自动暂停,避免“失控漂流”。区间大小则是一场平衡术,得在标的波动和你的风险胃口间找到舒适点。常见玩法有两种:价格边界法:根据标的过去几个月或一年的日K线,画个“箱体”,上沿是天花板,下沿
行情难做?不妨用ETF网格交易法提高收益!
# 阿里财报带动!大举看多中国AI,中概布局时机?
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牛市发发发888:
交易软件有这个功能吗?
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小虎AV
·
2024-10-24
条条大路向通胀!抵御通胀风险,你会买纳斯达克,黄金or比特币?
条条道路向通胀!近期Tudor基金创始人、亿万富翁、传奇投资者Paul Tudor Jones表示:美国大选临近,不管谁当选,都是条条大路向通胀!年轻人喜欢买纳斯达克抵御通胀,自己更喜欢买黄金、比特币~大家觉得对于普通人来说,想要抵御通胀风险,更青睐于买什么呢?评论区分享你的观点或操作,即可赢取虎币奖励!
$SPDR黄金ETF(GLD)$
$CME比特币主连 2410(BTCmain)$
$纳斯达克(.IXIC)$
条条大路向通胀!抵御通胀风险,你会买纳斯达克,黄金or比特币?
# 对冲通胀风险,买纳指?比特币?黄金?
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Bourse2022:
最近卖掉了一些长持的股票,不知道还有什么比较有潜力的股票或加密货币
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href=\"https://laohu8.com/S/TSLA\">$特斯拉(TSLA)$</a> 特斯拉财报后机构进行了看涨备兑roll仓,平仓232.5-252.5,roll仓262.5-282.5:卖 <a href=\"https://laohu8.com/OPT/TSLA%2020241101%20262.5%20CALL\">$TSLA 20241101 262.5 CALL$</a> 买 <a href=\"https://laohu8.com/OPT/TSLA%2020241101%20282.5%20CALL\">$TSLA 20241101 282.5 CALL$</a> 因为有爆仓前科所以我上周sell call行权价选了250,也就是机构备兑策略做对冲那条腿的行权价,事实证明谨慎还是有好处的,本周被行权也不会太心疼。问题是现有股票被行权,那下周持仓咋办?根据机构备兑行权价,财报后特斯拉股价大概率会冲击260,小概率冲击280。但根据之前经验这个小概率并不小,此时还是持股更划算,问题是如何上车。我选择是做260sell put:卖出 <a href=\"https://laohu8.com/OPT/TSLA%2020241025%20260.0%20PUT\">$TSLA 20241025 260.0 PUT$</a> 从趋势判断特斯拉还会继续涨,如果选择不操作,一定概率周五行权下周空仓错过趋势,而操作的风险是不管什么策略都是看涨,那回调打击就是双倍。所以相比直接买股票我还是选择了sell put,现阶段占用保证金少点还能薅时间价值。但行权价不能选太低,要不然没意义。行权价选择260,即机构认为的下周上限价格。如果周五股价回调到250以下,即股票没被行权,我也打算将股票平仓然后接盘260,看起来很像高位接盘,但实际持仓成本是260-权利金。此策略最大的缺点是,","plainDigest":"$特斯拉(TSLA)$ 特斯拉财报后机构进行了看涨备兑roll仓,平仓232.5-252.5,roll仓262.5-282.5:卖 $TSLA 20241101 262.5 CALL$ 买 $TSLA 20241101 282.5 CALL$ 因为有爆仓前科所以我上周sell call行权价选了250,也就是机构备兑策略做对冲那条腿的行权价,事实证明谨慎还是有好处的,本周被行权也不会太心疼。问题是现有股票被行权,那下周持仓咋办?根据机构备兑行权价,财报后特斯拉股价大概率会冲击260,小概率冲击280。但根据之前经验这个小概率并不小,此时还是持股更划算,问题是如何上车。我选择是做260sell put:卖出 $TSLA 20241025 260.0 PUT$ 从趋势判断特斯拉还会继续涨,如果选择不操作,一定概率周五行权下周空仓错过趋势,而操作的风险是不管什么策略都是看涨,那回调打击就是双倍。所以相比直接买股票我还是选择了sell put,现阶段占用保证金少点还能薅时间价值。但行权价不能选太低,要不然没意义。行权价选择260,即机构认为的下周上限价格。如果周五股价回调到250以下,即股票没被行权,我也打算将股票平仓然后接盘260,看起来很像高位接盘,但实际持仓成本是260-权利金。此策略最大的缺点是,","sourceLanguage":"CN","currentLanguage":"CN","editable":false,"auditStatus":"PASSED","topFlag":false,"totalScore":0,"gmtCreate":1729785269817,"gmtModify":1729785309042,"symbols":["TSLA","AAPL"],"themeIds":["bc6e8e4b405b43429905237d8c15ff4c","8a564c5658c24268b1d3b173c5ddfacd"],"themes":[{"themeId":"bc6e8e4b405b43429905237d8c15ff4c","themeType":0,"name":"期权Q&A:期权知识,你问我答"}],"popularizeThemeFlag":false,"imageCount":3,"images":[{"url":"https://static.tigerbbs.com/3af57a13ffaf19b83cfe9669b2fa0ed6","width":"2426","height":"258"},{"url":"https://static.tigerbbs.com/7ad17fa235215a8f71744c21d2ac75d7","width":"2614","height":"146"},{"url":"https://static.tigerbbs.com/1199650c3ea0ca8a365453174111bff9","width":"2616","height":"1336"}],"repostCount":5,"viewCount":24555,"likeCount":21,"liked":false,"collected":false,"commentCount":4,"hotComments":[{"id":"363577559531624","author":{"authorId":"3523587098717559","idStr":"3523587098717559","name":"沧海一粟涛涛","avatar":"https://static.tigerbbs.com/2fa748518a2483ea79bacfdb91ea26ef","userType":1,"introduction":"","crmLevel":8,"crmLevelSwitch":0,"fanSize":54,"starInvestorFlag":true,"starInvestorFollowerNum":45},"content":"看不懂卖出行权价260美元Put的操作。这基本没有溢价,跟特斯拉正股有什么区别。而且如果收益是有极限的,最多就是赚取权利金。还不如买正股痛快,如果看好,加点杠杆更爽了","plainContent":"看不懂卖出行权价260美元Put的操作。这基本没有溢价,跟特斯拉正股有什么区别。而且如果收益是有极限的,最多就是赚取权利金。还不如买正股痛快,如果看好,加点杠杆更爽了","likeCount":0,"commentType":"valid","coins":0},{"id":"363629981192488","author":{"authorId":"3507596082470494","idStr":"3507596082470494","name":"独钓寒江雪A","avatar":"https://static.tigerbbs.com/86d14523ab7112c237e74dbf67637f01","userType":1,"introduction":"","crmLevel":3,"crmLevelSwitch":1,"fanSize":35,"starInvestorFlag":false},"content":"班长,给讲一下超微电脑吧 $超微电脑(SMCI)$","plainContent":"班长,给讲一下超微电脑吧 $超微电脑(SMCI)$","likeCount":0,"commentType":"valid","coins":0}],"voteFlag":false,"rewardFlag":false,"videoFlag":false,"articleFlag":false,"paperFlag":true,"essentialFlag":true,"highlightedFlag":false,"shareLink":"https://laohu8.com/post/363560743706712","orderFlag":false,"starInvestorRankings":[],"featuresForAnalytics":[],"commentAndTweetFlag":false,"upFlag":false,"length":1849,"displayRows":4,"foldSize":0,"authorId":"3527667590215376"}]},{"cardType":"TWEET","cardId":"TWEET.363366369083584","cardData":[{"tweetId":"363366369083584","author":{"authorId":"4178258832114400","idStr":"4178258832114400","name":"二套房研究员","avatar":"https://static.tigerbbs.com/b6933abdd949be419ea794498d4ba78d","userType":1,"introduction":"","crmLevel":1,"crmLevelSwitch":0,"wearingBadges":[],"fanSize":444,"starInvestorFlag":false,"userFollowAuthorFlag":false,"authorFollowUserFlag":false},"userFollowAuthorFlag":false,"authorFollowUserFlag":false,"title":"这只ETF,完美避开MAG7","digest":"美股高集中度一直以来是一个潜在风险。为了分散这种风险,有家公司本周推出了一只ETF追踪美国大型股,但针对性地排除了科技巨头七姐妹“Magnificent Seven”。 10月23日,Defiance ETFs推出了Defiance Large Cap Ex-Magnificent Seven ETF(XMAG),跟踪BITA US 500 ex-Magnificent 7 Index。 这个指数包含了美国最大的500家上市公司,必须在纽交所或纳斯达克上市,并且在过去三个月内平均每天的交易量至少为100万美元。 而这个指数的最大特点是不包括七家科技巨头:苹果、微软、Alphabet、亚马逊、英伟达、Meta和特斯拉。 XMAG为那些希望在大型股中寻找投资机会,同时又希望避免过度集中于特定科技股的投资者提供了一个新的选择。 XMAG持有491家公司,集中度较低,前十大持仓占比总和约为16%。第一大持仓是博通,前十大持仓还包括礼来、摩根大通、伯克希尔、埃克森美孚等美国巨头。 XMAG的费率为0.35%,在同类产品中属于中等水平。 XMAG的推出与Roundhill Magnificent Seven ETF(MAGS)形成了鲜明对比。MAGS专注于投资于七家科技巨头,自2023年4月推出以来,已经吸引了7.8亿美元的资金。MAGS的表现也非常强劲,一年总回报率达到63%。 <a href=\"https://laohu8.com/S/TSLA\">$特斯拉(TSLA)$</a> <a href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$</a> <a href=\"https://laohu8.com/S/XMAG\">$Defiance Large Cap ex-Mag 7 ETF(XMAG)$</a>","plainDigest":"美股高集中度一直以来是一个潜在风险。为了分散这种风险,有家公司本周推出了一只ETF追踪美国大型股,但针对性地排除了科技巨头七姐妹“Magnificent Seven”。 10月23日,Defiance ETFs推出了Defiance Large Cap Ex-Magnificent Seven ETF(XMAG),跟踪BITA US 500 ex-Magnificent 7 Index。 这个指数包含了美国最大的500家上市公司,必须在纽交所或纳斯达克上市,并且在过去三个月内平均每天的交易量至少为100万美元。 而这个指数的最大特点是不包括七家科技巨头:苹果、微软、Alphabet、亚马逊、英伟达、Meta和特斯拉。 XMAG为那些希望在大型股中寻找投资机会,同时又希望避免过度集中于特定科技股的投资者提供了一个新的选择。 XMAG持有491家公司,集中度较低,前十大持仓占比总和约为16%。第一大持仓是博通,前十大持仓还包括礼来、摩根大通、伯克希尔、埃克森美孚等美国巨头。 XMAG的费率为0.35%,在同类产品中属于中等水平。 XMAG的推出与Roundhill Magnificent Seven ETF(MAGS)形成了鲜明对比。MAGS专注于投资于七家科技巨头,自2023年4月推出以来,已经吸引了7.8亿美元的资金。MAGS的表现也非常强劲,一年总回报率达到63%。 $特斯拉(TSLA)$ $英伟达(NVDA)$ $Defiance Large Cap ex-Mag 7 ETF(XMAG)$","sourceLanguage":"CN","currentLanguage":"CN","editable":false,"auditStatus":"PASSED","topFlag":false,"totalScore":0,"gmtCreate":1729755083832,"gmtModify":1729774040531,"symbols":["NVDA","TSLA","XMAG"],"themeIds":[],"popularizeThemeFlag":false,"imageCount":1,"images":[{"url":"https://static.tigerbbs.com/b432f73d36ef99dbbd08b86bfdbaef0f","width":"418","height":"279"}],"repostCount":0,"viewCount":19830,"likeCount":19,"liked":false,"collected":false,"commentCount":3,"hotComments":[{"id":"363516709183712","author":{"authorId":"9000000000000299","idStr":"9000000000000299","name":"哈里吨冲击","avatar":"https://static.tigerbbs.com/d5e494a36ad24a3771c97463c476f0ce","userType":8,"introduction":"运营账号","crmLevel":1,"crmLevelSwitch":0,"fanSize":18,"starInvestorFlag":false},"content":"除去七家科技巨头的这只ETF确实是个不错的选择,可以帮助投资者分散风险","plainContent":"除去七家科技巨头的这只ETF确实是个不错的选择,可以帮助投资者分散风险","likeCount":0,"commentType":"valid","coins":0},{"id":"363481127833664","author":{"authorId":"3497006675108652","idStr":"3497006675108652","name":"enjoylife168","avatar":"https://static.tigerbbs.com/e6aa6e5e2392f958e0b4f4c6bac84d1f","userType":1,"introduction":"","crmLevel":1,"crmLevelSwitch":0,"fanSize":1,"starInvestorFlag":false},"content":"績效表現定不佳","plainContent":"績效表現定不佳","likeCount":0,"commentType":"valid","coins":0}],"voteFlag":false,"rewardFlag":false,"videoFlag":false,"articleFlag":false,"paperFlag":true,"essentialFlag":true,"highlightedFlag":false,"shareLink":"https://laohu8.com/post/363366369083584","orderFlag":false,"starInvestorRankings":[],"featuresForAnalytics":[],"commentAndTweetFlag":false,"upFlag":false,"length":961,"displayRows":4,"foldSize":0,"authorId":"4178258832114400"}]},{"cardType":"TWEET","cardId":"TWEET.363488711868816","cardData":[{"tweetId":"363488711868816","author":{"authorId":"3527667583497005","idStr":"3527667583497005","name":"期权异动观察","avatar":"https://static.laohu8.com/default-avatar.jpg","userType":2,"introduction":"专职期权异动追踪。","crmLevel":1,"crmLevelSwitch":0,"wearingBadges":[],"fanSize":3754,"starInvestorFlag":false,"userFollowAuthorFlag":false,"authorFollowUserFlag":false},"userFollowAuthorFlag":false,"authorFollowUserFlag":false,"title":"热门股covered call 量化策略【10月24日】","digest":"卖备兑看涨期权(sell covered call),是很多大的基金采用的策略,美股散户也可以借鉴该策略。您可以在持有股票的同时获得收益。 策略执行方法是,持有或买入股票,卖出股票相对应的看涨期权。这个策略适合长期持有某些近期横盘不动或者有利空消息的股票的投资者,通过做备兑,对冲一下风险,可能会获得额外收益。 小涨多赚钱,不涨多赚钱,下跌少亏钱。只有股票暴涨时不推荐做备兑。所以在长期持有一些标的时滚动做备兑,对成熟投资者,可能是一个很好的策略。 收益对比 假设2021年1月1日到12月17日期间投资者持有亚马逊 200股股票 持有期间如果无操作,则最后的总资产为675484美元 持有期间如果进行covered call策略,每周操作一次;如果行权卖出100股股票后,下一个交易日再买入100股。最后的总资产为728898美元。 Covered Call策略:卖出看涨期权池(仅供参考) 期权代码 标的代码 到期日 行权价 权利金 隐含波动率 年化收益率 <a target=\"_blank\" href=\"https://laohu8.com/OPT/NVDA 20241101 149.0 call\">$NVDA 20241101 149.0 call$</a> NVDA 2024/11/01 149.0 1.170000 0.480000 34.00% <a target=\"_blank\" href=\"https://laohu8.com/OPT/TIGR 20241101 9.0 call\">$TIGR 20241101 9.0 call$</a> TIGR 2024/11/01 9.0 0.080000 1.630000 53.63%","plainDigest":"卖备兑看涨期权(sell covered call),是很多大的基金采用的策略,美股散户也可以借鉴该策略。您可以在持有股票的同时获得收益。 策略执行方法是,持有或买入股票,卖出股票相对应的看涨期权。这个策略适合长期持有某些近期横盘不动或者有利空消息的股票的投资者,通过做备兑,对冲一下风险,可能会获得额外收益。 小涨多赚钱,不涨多赚钱,下跌少亏钱。只有股票暴涨时不推荐做备兑。所以在长期持有一些标的时滚动做备兑,对成熟投资者,可能是一个很好的策略。 收益对比 假设2021年1月1日到12月17日期间投资者持有亚马逊 200股股票 持有期间如果无操作,则最后的总资产为675484美元 持有期间如果进行covered call策略,每周操作一次;如果行权卖出100股股票后,下一个交易日再买入100股。最后的总资产为728898美元。 Covered Call策略:卖出看涨期权池(仅供参考) 期权代码 标的代码 到期日 行权价 权利金 隐含波动率 年化收益率 $NVDA 20241101 149.0 call$ NVDA 2024/11/01 149.0 1.170000 0.480000 34.00% $TIGR 20241101 9.0 call$ TIGR 2024/11/01 9.0 0.080000 1.630000 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