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iPhone 8
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纳斯达克综合指数
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标普500指数
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恒生指数
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富时新加坡海峡指数
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9,138
日造金山
·
2024-11-27
通过中国股市致富这是100%行不通的,所以未来十年内不会碰A股,也尽量不谈、不看,坚定信念,励志潜行:脱贫致富奔小康争取实现日均日入三万美金。奥利给![加油]
通过中国股市致富这是100%行不通的,所以未来十年内不会碰A股,也尽量不谈、不看,坚定信念,励志潜行:脱贫致富奔小康争取实现日均日入三万美金。奥利给![加油]
精彩
小岛大浪:
真有钱,不看大a就是对的。a股就是杀猪盘
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3
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编组 21备份 2
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1.02万
爱投资的小熊猫
·
2024-11-27
顺丰控股,国配10倍!可惜是二次上市的——(06936.HK)新股配售情况
$顺丰控股(06936)$
公配79.07倍,国配10.10倍,十分火热,暗盘微跌,上市首日平开,十分钟上冲到35.50港元,涨幅高达3.50%,因为此时已上市敲锣结束,顺丰也是玩了一波敲钟攻势之后就开始往下走了 开盘之后拉了9分钟,才怒拉3.5%涨幅。真是神勇! 图片 这个敲钟攻势也是我们经常去敲钟就发现一个挺有意思的现象,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,大屏幕背景板显示着公司老板也觉得也都特别有面子。 我们来看看顺丰控股(06936.HK)暗盘情况: 顺丰控股(06936.HK)辉立暗盘以35.00港元高开,秒冲到最高点36.20港元后迅速下跌至最低点33.80港元止跌,然后反弹到34.00港元附近横盘震荡,尾盘以34.00港元报收,跌幅0.87%,振幅7.00%。 图片 图片 图片 看看顺丰控股(06936.HK)配售情况! 顺丰控股(06936.HK)招股最终定价34.30港元,在招股价32.30港元-36.30港元的中位价,58.31亿港元的募资,1710.26亿港元的总市值,H股市值58.31亿港元,发行比例3.41%。配售情况:82574人认购,这次公配79.07倍,十分火热,由于超过47倍,回拨比率18.50%,国配有10.10倍,一手中签率20.00%,认购20手才必中1手,同时乙组1369人申购,其中顶头槌申购26张,获配率1.93%-2.20%! 图片 图片 图片 顺丰控股(06936.HK)的乙组官方披露
顺丰控股,国配10倍!可惜是二次上市的——(06936.HK)新股配售情况
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3
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编组 21备份 2
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1.62万
期权叨叨虎
·
2024-11-27
IV近一年低点!买英伟达期权的时候到了?
英伟达的股价自其财报发布以来一直在回落,在过去五个交易日中下跌了大约7%,损失了大约2500亿的市值。美东时间11月26日,英伟达期权成交活跃,当日期权总成交量达336.73万张,其中看跌期权占总成交量的33.47%,看涨期权占66.53%。值得注意的是,英伟达在成交价格为136.97美元时,出现一笔看涨期权的异动大单,其以4.65万张的成交量荣登大单榜首,涉资55.85万美元。该期权的行权价为146.00美元,到期日为2024年11月29日。英伟达处于隐含波动率低位回顾英伟达的隐含波动率历史,当前NVDA的隐含波动率(IV)为38.0,处于15%的百分位。这意味着在过去一年中,仅有15%的时间IV低于当前水平。当前IV(38.0)比其20日移动平均值(53.1)低28.3%,表明隐含波动率处于非常低的区间。另外交易者经常使用隐含波动率(IV)与历史波动率(HV)之间的差异来衡量与均值的偏离程度。以252天的历史波动率(HV)作为长期基准,当前隐含波动率(38.0)比252天HV均值(49.4)低23.0%。做多隐含波动率策略当隐含波动率(IV)较低时,期权价格通常较便宜,因此投资者可以选择一些利用低波动率并预期未来波动率上升的策略。以下是适合在隐含波动率较低时使用的期权策略:买入期权(Long Options)适用情形: 适合对标的资产有明确看涨或看跌预期,并预期隐含波动率可能上升的情况。策略细节:买入看涨期权(Long Call):预期标的资产价格将大幅上涨。买入看跌期权(Long Put):预期标的资产价格将大幅下跌。优点:风险有限,亏损仅限于期权权利金。如果标的资产价格大幅波动或隐含波动率上升,收益潜力巨大。缺点:如果标的资产价格不动或波动率继续下降,期权可能亏损。买入价差期权(Debit Spread)适用情形: 适合对价格方向有预期,但希望控制成本时使用。策略细
IV近一年低点!买英伟达期权的时候到了?
精彩
Vinsa8:
你还能不能打?不能打搞点海能达
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1
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16
编组 21备份 2
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1.03万
Solu
·
2024-11-27
$苹果(AAPL)$
继续向上
$苹果(AAPL)$ 继续向上
# 晒晒更赚钱
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1
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1
编组 21备份 2
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8,333
点金胜手V
·
2024-11-27
$上证指数(000001.SH)$
#2024.11.27午盘策略#今天,大金融出手了,稳住了指数,但稳住指数之后,金融便没再继续发力,题材开始表现 开盘恐慌砸了一波,截止到收盘已经回去不少了,如果下午指数这里能稳住,是可以适当出手的 毕竟这个月马上过完了,可能会有资金博弈12月的开门红 建议选择偏低位的方向和个股会比较好一些,这几天出现过放量大阴线的,尽量规避 今天上午修复的也基本都是一些前面调整下来位置偏低的方向,大消费的小家电、零售、食品饮料等这些都有异动
$上证指数(000001.SH)$ #2024.11.27午盘策略#今天,大金融出手了,稳住了指数,但稳住指数之后,金融便没再继续发力,题材开始表现 开盘...
精彩
Inmoretion:
今天集体收涨应该是有消息利好,看看明天能不能继续,11月没几天了
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编组 21备份 2
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1.05万
话题虎
·
2024-11-27
令人窒息的麦琳操作!投入回报比,难道不重要吗?
最近一档离婚观察类节目爆火,素人麦琳,成功超越努力型选手杨子,成为新晋顶流,众多名场面不限于熏鸡奶皮子事件(不管钱时自私放纵买自己爱吃的)、青团事件(打飞的给她买爱吃的青团,被她吐槽不是爱吃的口味,明明每个口味都给她买了。。)等。[生气][生气] 实在理解不了她的行为归因,就去问了一下学心理学的朋友,可惜他是研究精神病的,暂时还给不出解释:”不过从男方李行亮的吐槽,倒是能给出一些行为上的解释,就是双方对“成本”的概念出现了分歧:[微笑]比如一直树立节俭人设的麦琳,手机都快用坏了,也要退掉李行亮给他买的新手机,然后等旧手机损害了,男方再找专业人士花大量时间精力去修复数据;家里垃圾桶也不买,就用装修剩下的油漆桶,试问油漆对人身体伤害不大吗?男方花大量时间精力去给她准备惊喜,也是“就还好,送不到我的心趴上”[冷漠][冷漠] 男的可能觉得女方一直在选择不必要的东西,结果放弃了更有价值的东西,投入回报比很低,而女方麦琳则更喜欢用时间去换金钱,并没有考虑机会成本。各位小虎们,大家生活和投资中,会考虑投入回报比吗?你有哪些提高投入回报比极低的建议分享吗?[安慰]评论区分享你的观点和看法,一起瓜分1000虎币奖励!🎁🎁
令人窒息的麦琳操作!投入回报比,难道不重要吗?
# 【分享】炒股,关键是会买or会卖?
精彩
静思笃行:
哈哈哈哈小虎为了引话题都开始八卦了。
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15
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5
编组 21备份 2
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1.48万
机构有话说
·
2024-11-27
市场显露更多分歧! 美元延续涨势非美继续承压
摘要:回顾上周,美元维持强势再度走高,但部分美联储官员发言开始呈现宽松预期。欧元与英镑则持续承压,主因是内外部政策的不确定性加剧。美元兑日元的涨势则因政府干预预期有所收敛。展望本周,除美联储政策纪要,美国、欧洲的部分重要经济数据的发布外,数据和消息面相对平静。尽管欧元和英镑短期或难逆转,但由于市场开始出现对曾支持美元上涨的因素的质疑声音,本周经济数据表现若背离预期较大,或成为汇价反转的号角。1. 全球外汇焦点回顾与基本面摘要美元指数继续上演一枝独秀 但基本面显露更多阻碍汇价上行迹象美元指数上周连续第三周走高,再度呈现一枝独秀格局。最新公布的11月综合采购经理人指数升至2022年4月以来最高,与欧洲、英国PMI跌破荣枯线的表现对比鲜明。不过部分美联储官员上周公开发言开始显露进一步宽松预期。同时由于拟议的关税被推迟到2025或2026实施,及美国企业加速在关税生效前进行海外采购的预期,全球经济或将得到喘息,其他货币也或将受此提振。多重因素施压欧元创两年来新低 市场增大降息预期和美元平价押注欧元成过去3个月G10表现最差货币之一,上周更是跌至两年新低。除特朗普当选美国总统后可能征收高额关税,对欧洲地区依赖出口的经济体造成打击的前景外,欧洲内外部政治和经济不确定性也是主要拖累因素。俄乌局势的升级、德国和法国的经济放缓及政策空间的进一步缩窄等,欧洲央行面临艰难选择。最新调查显示,市场对欧洲央行12月降息50个基点的预期有所增加,更多人开始押注欧元向与美元平价方向下滑。央行干预预期下日元贬值势头放缓 短期汇价或将震荡等待指引日元近期的贬值反映出市场对日本央行宽松政策持续性的预期,但上周贬值势头有所减弱,美元兑日元经历震荡后仅小幅收涨。尽管美日利差仍支持美元兑日元上行,但日本当局可能的干预限制了汇价的上升空间。日本财务大臣加藤上周曾表示,将采取适当行动应对外汇过度波动。受此影
市场显露更多分歧! 美元延续涨势非美继续承压
# 期货达人俱乐部
精彩
超越小我:
请问 减少美元资产敞口 就是减少美股、美债?
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2
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1
编组 21备份 2
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3.60万
阳光财经
·
2024-11-27
5k瞬间没了,2025年美股目标位
今天下午其中一个仓位有1200股
$Reddit(RDDT)$
亏了9000块,导致直接把今天入的金全亏没了,心疼1分钟。我们在炒股的时候,不要整天将盈利亏损换算成生活的钱,炒股的钱也不要影响到生活,更不要整天患得患失。
$标普500(.SPX)$
5k瞬间没了,2025年美股目标位
精彩
老当益壮铁树开花:
To 阳光财经,下次断更之前记得做一期请假节目,告知粉丝断更开始时间,复出时间,以免粉丝经常来敲门,失望而归。
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7
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12
编组 21备份 2
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8,541
gogogofo
·
2024-11-26
$Palantir Technologies Inc.(PLTR)$
Palantir要上纳斯达克了!能不能冲到75美元?
$Palantir Technologies Inc.(PLTR)$
$Palantir Technologies Inc.(PLTR)$
各位股友,Palantir最近搞了个大新闻,要从纽约证券交易所跳槽到纳斯达克,还信誓旦旦地说“有望符合纳斯达克100指数的资格要求”。Wedbush证券直接给出75美元的目标价,这到底是要起飞还是要“起飞失败”?我们来分析一下吧! 3个理由支持Palantir冲上75美元 1. 纳斯达克100带流量 进入纳斯达克100意味着啥?意味着大批ETF基金会“被迫”买入Palantir的股票!流量、资金双加持,到时候股价要不上去,机构自己都不答应啊。 2. 站稳“科技圈C位” 纳斯达克可是科技公司的主场啊,什么微软、英伟达都在那蹲着呢。Palantir这次换到纳斯达克,感觉就像终于转学到了重点班,瞬间气质都不一样了,吸引一堆科技投资者也不是不可能啊! 3. 分析师“奶力”十足 Wedbush证券都喊75美元了,难保其他券商不来凑热闹。到时候,分析师们一通花式“奶”,市场情绪一热,短期内冲一波75也不是不可能! 3个理由觉得Palantir爬不上75美元 1. 贵得有点离谱了 现在Palantir的估值已经够高了,基本靠“AI梦”撑着。想冲75?得有
$Palantir Technologies Inc.(PLTR)$ Palantir要上纳斯达克了!能不能冲到75美元? $Palantir Techn...
# 晒晒更赚钱
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编组 21备份 2
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1.14万
Janelovesapp
·
2024-11-26
$蔚来(NIO)$
垃圾股票!买的所有股票就它垃圾![愤怒]
$蔚来(NIO)$ 垃圾股票!买的所有股票就它垃圾![愤怒]
# 晒晒更赚钱
精彩
迷鹿小仙女:
投资不能急,耐心比什么都重要!
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21
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9
编组 21备份 2
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8,601
阿福哥哥
·
2024-11-27
$SPY 20241205 601.0 CALL$
通过远期合约来验证交易的可行性。
$SPY 20241205 601.0 CALL$
$SPY 20250221 570.0 PUT$
$标普500ETF(SPY)$
$SPY 20241205 601.0 CALL$ 通过远期合约来验证交易的可行性。 $SPY 20241205 601.0 CALL$ $SPY 202...
# 晒晒更赚钱
精彩
再涨一点点:
这个操作太牛了,真有眼光 [强]
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2
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3
编组 21备份 2
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歡歡学习中灬
·
2024-11-27
$IREN 20241129 9.5 CALL$
[喷血] [喷血] 正股波动太大期权不划算,投入产出不成正比,本以为昨晚币是V起来了,没想到是A型走势,晚上开盘跑路。
$IREN 20241129 9.5 CALL$ [喷血] [喷血] 正股波动太大期权不划算,投入产出不成正比,本以为昨晚币是V起来了,没想到是A型走势,...
# 晒晒更赚钱
精彩
迷鹿小仙女:
逢低加仓可以考虑,耐心比什么都重要!
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9
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2
编组 21备份 2
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深海兰花
·
2024-11-27
$苹果(AAPL)$
今天盘后以235.6刀的价位卖了不到三分之一仓位的苹果,希望逢低时再买回来。
$苹果(AAPL)$ 今天盘后以235.6刀的价位卖了不到三分之一仓位的苹果,希望逢低时再买回来。
# 晒晒更赚钱
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2
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4
编组 21备份 2
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1.18万
Gina_Xu
·
2024-11-27
英伟达意外下跌的可能原因
最近2天,英伟达意外下跌。市场上流传了几个可能的原因: 1、资金继续从Mag 7/Big Tech轮转到小盘股、Software等。 这是表象,不是原因。尤其是无法解释NVDA(财报后没有重大不确定因素)的下跌。 2、周末新的芯片限制影响H20销量 这不是投资者关注的主要因素。从上周的电话会问题可以看出。 3、昨天彭博报道,AMZN的Trainium 芯片的一些进展 已经开始给AMZN的数据中心出货,年末要“可靠运行” Databricks要用Trainium代替一些NVDA芯片 是一个因素,但应该不是主要因素。 因为,这个报道是很多旧闻的重提;Tranium的合理目标是接管公司的内部AI workload,以及偶尔的AWS客户的工作,从而释放出更多英伟达高端芯片的算力。 4、Scaling Law放缓 昨天Gomez(Cohere CEO)说,AI模型正在进入曲线的平坦部分(flat part of the curve),就是说发展放缓了。Gomez是Transformer(GPT的基础算法)论文的cowriter。 Alexander Wang(Scale AI CEO)说,pre-training确实撞墙了。 Ghodsi(Databricks CEO)说,scaling law撞墙了。 Benioff(CRM CEO),我们达到LLM的上限,以后的进展取决于软件工程。 联系到Scaling Law的放缓的争论已经发酵了10天,占据了投资人相当的心智,看起来这个是诱发机构减仓的主要原因。 4、期权到期 大量押注英伟达财报的期权在上周五到期,意味更多的正股可以被交易(感谢评论区一位同学的补充) 这放大了波动性。
英伟达意外下跌的可能原因
# 英伟达$170保卫战!这次多少价位加仓?
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岿然不动的稳:
Scaling Law放缓可能真是主要因素,大家心里得有数
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Buy_Sell
·
2024-11-27
🎁【11月27日】三大指数连涨,比特币概念股受挫!今天买点啥?
美股收盘 | 三大指数集体收涨,标普七连涨、道指五连涨,比特币概念股普跌截至收盘,道琼斯指数涨0.28%,连涨五天;标普500指数涨0.57%,连涨第七天;纳斯达克综合指数涨0.63%,连涨四天。鉴于近期通胀数据坚挺,美联储官员敦促保持谨慎,投资者下调了对美联储将在12月再次降息的预期。据CME“美联储观察”:美联储到12月维持当前利率不变的概率为37.2%,累计降息25个基点的概率为62.8%。到明年1月维持当前利率不变的概率为28.4%,累计降息25个基点的概率为56.8%,累计降息50个基点的概率为14.8%。“科技七姐妹”仅特斯拉收跌。
$Meta Platforms, Inc.(META)$
收涨1.49%。
$亚马逊(AMZN)$
收涨3.19%。比特币期货一度下逼9万美元大关,加密货币概念股普跌。
$嘉楠科技(CAN)$
收跌13.46%,加密数字货币交易所巨头
$Coinbase Global, Inc.(COIN)$
收跌6.06%,被卖空者香橼狙空的“比特币持仓大户”
$MicroStrategy(MSTR)$
收跌12.33%。热门中概股多数走低,
$蔚来(NIO)$
跌7.71%,
$理想汽车(LI)$
跌2
🎁【11月27日】三大指数连涨,比特币概念股受挫!今天买点啥?
# 今天什么值得买?晒晒你的交易计划!
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AliceSam:
$MicroStrategy(MSTR)$ 更是惨遭香橼做空狙击,短短四天股价直接跌超25%
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3
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6
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1.11万
美股投资网
·
2024-11-27
马斯克暴怒!加州新提案让买特斯拉,没补贴!
美股周二收高,美联储货币证策会议纪要显示,官员们认为未来会降息,但只会逐步降息。市场正在评估美国当选总统特朗普发出的关税威胁。 截至收盘,道指涨幅为0.28%。标普500上涨0.57%,纳指上涨0.63%。虽然道指一度下跌超过300点,但最终逆转上涨,创下了盘中和收盘的新高。 市场的焦点之一来源于特朗普证府关于关税的威胁。特朗普于周一宣布,计划对墨西哥和加拿大的产品征收25%的关税,并对中国产品实施额外10%的关税。此外,他还提出对所有进口商品征收最高20%的关税,并对中国产品加征至少60%的额外关税。 尽管这番言论超出了大多数市场预期,显得更加激进,但市场反应相对平淡。 美股投资网分析认为,投资者并未完全相信这些关税证策最终会落地,更可能是特朗普的谈判策略,旨在施压对手,这与他一贯的风格一致。当前,投资者的注意力更多集中在年底季节性强势因素和强劲的企业盈利上,因此美股指数波动较小。
$英伟达(NVDA)$
同时,墨西哥总统克劳迪娅·谢因鲍姆对特朗普的关税威胁作出回应,表示如果美国对墨西哥商品加征新关税,墨西哥将采取报复性措施。这一全球贸易紧张局势无疑为未来经济增添了更多不确定性。 不过有一个板块受特朗普关税言论的影响较大,那就是汽车制造业。 今日,
$通用汽车(GM)$
跌幅达到9%。
$福特汽车(F)$
跌2.6% ,两大汽车巨头在墨西哥和加拿大设有众多工厂,若关税证策落地,其生产成本将大幅上升,利润空间被严重挤压。 此外,以生产墨西哥啤酒Corona和Modelo闻名的
$
马斯克暴怒!加州新提案让买特斯拉,没补贴!
# 彻底闹掰!“特马对撕”之战,你站哪一边?
精彩
月下美人还是没人:
特斯拉面临的新挑战,可能影响不小啊
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Options)适用情形: 适合对标的资产有明确看涨或看跌预期,并预期隐含波动率可能上升的情况。策略细节:买入看涨期权(Long Call):预期标的资产价格将大幅上涨。买入看跌期权(Long Put):预期标的资产价格将大幅下跌。优点:风险有限,亏损仅限于期权权利金。如果标的资产价格大幅波动或隐含波动率上升,收益潜力巨大。缺点:如果标的资产价格不动或波动率继续下降,期权可能亏损。买入价差期权(Debit Spread)适用情形: 适合对价格方向有预期,但希望控制成本时使用。策略细","plainDigest":"英伟达的股价自其财报发布以来一直在回落,在过去五个交易日中下跌了大约7%,损失了大约2500亿的市值。美东时间11月26日,英伟达期权成交活跃,当日期权总成交量达336.73万张,其中看跌期权占总成交量的33.47%,看涨期权占66.53%。值得注意的是,英伟达在成交价格为136.97美元时,出现一笔看涨期权的异动大单,其以4.65万张的成交量荣登大单榜首,涉资55.85万美元。该期权的行权价为146.00美元,到期日为2024年11月29日。英伟达处于隐含波动率低位回顾英伟达的隐含波动率历史,当前NVDA的隐含波动率(IV)为38.0,处于15%的百分位。这意味着在过去一年中,仅有15%的时间IV低于当前水平。当前IV(38.0)比其20日移动平均值(53.1)低28.3%,表明隐含波动率处于非常低的区间。另外交易者经常使用隐含波动率(IV)与历史波动率(HV)之间的差异来衡量与均值的偏离程度。以252天的历史波动率(HV)作为长期基准,当前隐含波动率(38.0)比252天HV均值(49.4)低23.0%。做多隐含波动率策略当隐含波动率(IV)较低时,期权价格通常较便宜,因此投资者可以选择一些利用低波动率并预期未来波动率上升的策略。以下是适合在隐含波动率较低时使用的期权策略:买入期权(Long Options)适用情形: 适合对标的资产有明确看涨或看跌预期,并预期隐含波动率可能上升的情况。策略细节:买入看涨期权(Long Call):预期标的资产价格将大幅上涨。买入看跌期权(Long Put):预期标的资产价格将大幅下跌。优点:风险有限,亏损仅限于期权权利金。如果标的资产价格大幅波动或隐含波动率上升,收益潜力巨大。缺点:如果标的资产价格不动或波动率继续下降,期权可能亏损。买入价差期权(Debit Spread)适用情形: 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