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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
12.97万
OptionPlus
·
2024-12-09
2亿美刀期权做多中国的神秘大佬一夜爆赚1亿美刀!
上周X上热议的“1.5亿美元期权做多中国”的神秘大佬,这把赚了多少?先梳理一下,大佬从11月29日起,连续3天买入YINN,2026年1月到期,行权价为$27 的平值看涨期权,3天分别买入9.82w手、3.88万手和1.53万手,合计约15.23万手,根据11月29日-12月3日之间的买入价格计算,他的平均成本大概$9.5-9.8左右,耗资大概1.5亿美元。另外,12月2日,CHAU 也发生大单,2025年5月到期,行权价为 $15 的平值看涨期权,买入20万手,价格大概是$2.5左右,耗资5000万美元。这两笔中国资产看涨期权成本合计2亿美刀。这么大手笔买入中国杠杆ETF的看涨,还是平值期权,实属罕见,市场立即嗅到不一样的机会。今天开盘,YINN和CHAU这两张看涨期权合约分别涨:42%和45%,也就是大佬一夜赚了近1亿美刀!这两笔期权都是非常远期的平值期权,在中概杠杆ETF 史上闻所未闻,别说杠杆ETF,就算中概ETF -ashr或者 kweb 也算非常罕见。不得不说神秘大佬的灵通。接下来的关键,大家盯住这位大佬什么时候平仓或者移仓!目前看,YINN 26年1月行权价$27 的这张合约未平仓合约量仍有18万张,二CHAU 5月到期的合约仍有21万张,由于目前这两个价格都在深度价内,可能近期会出现移仓。紧跟持仓量变化。另外,上周五YINN 还有另一笔大单,12月20日到期,行权价为$33 的平值看涨期权!成交4.19万手,成交价格越$1刀,一夜爆赚1000万美刀。
$三倍做多富时中国ETF-Direxion(YINN)$
$二倍做多沪深300(Direxion)(CHAU)$
2亿美刀期权做多中国的神秘大佬一夜爆赚1亿美刀!
精彩
翠绿韭菜:
什么大佬?内部早收到消息了吗?
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27
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74
编组 21备份 2
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7,099
好男人不包二奶
·
2024-12-09
$三倍做多富时中国ETF-Direxion(YINN)$
庄家跑我就跑
$三倍做多富时中国ETF-Direxion(YINN)$ 庄家跑我就跑
# 晒晒更赚钱
精彩
小岛大浪:
优秀啊,长期看好中国资产
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1
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2
编组 21备份 2
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8,023
好男人不包二奶
·
2024-12-09
$特斯拉(TSLA)$
见好就收
$特斯拉(TSLA)$ 见好就收
# 晒晒更赚钱
回复
2
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3
编组 21备份 2
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8,294
幸运的卢克
·
2024-12-09
$Destiny Tech100 Inc(DXYZ)$
盘前高位跑了,没想到开盘成这熊样。
$Destiny Tech100 Inc(DXYZ)$ 盘前高位跑了,没想到开盘成这熊样。
# 晒晒更赚钱
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1
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4
编组 21备份 2
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5,620
JBH
·
2024-12-09
$Unity Software Inc.(U)$
结账一下,这一波是不是要休息一下了。
$Unity Software Inc.(U)$ 结账一下,这一波是不是要休息一下了。
# 晒晒更赚钱
精彩
小岛大浪:
大佬厉害,这波赚的挺多啊
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2
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1
编组 21备份 2
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6,065
Saraat
·
2024-12-09
$老虎证券(TIGR)$
马上翻倍
$老虎证券(TIGR)$ 马上翻倍
# 晒晒更赚钱
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1
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2
编组 21备份 2
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2.75万
期权小班长
·
2024-12-09
中概股看涨布局一览
上周我连续发了三个帖子追踪中概股看涨期权异动,下面整理几个重点中概股期权开仓数据。从行权价来看开盘已达到第一目标价,这**涨行情终点可以参考大单后续的平仓&roll仓细节,我也会做进一步跟踪。
$三倍做多富时中国ETF-Direxion(YINN)$
$YINN 20260116 27.0 CALL$
,未平仓17.9万手
$YINN 20241220 33.0 CALL$
,未平仓3.9万手
$YINN 20260116 27.0 CALL$
2026年到期9.8万手重磅大单,第一次开仓时间是11月29日,
我在上周一文章里写过
。随后每天都有新开仓跟进,截止12月9日未平仓达到17.9万手。
$YINN 20241220 33.0 CALL$
短期看涨期权,12月20日到期行权价30,12月6日周五开仓。跟上面的长期看涨期权27call相比这张大单很可能会在今天开盘平仓,也有概率会roll。
中概股看涨布局一览
# 期权Q&A:期权知识,你问我答
精彩
控制仓位顺势而为:
感谢班长指路,已经提前埋伏小幅获利 [财迷]
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7
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19
编组 21备份 2
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1.08万
财妈价值轮回记
·
2024-12-09
决定一笔波段交易持仓时间的三要素
“ 在盈利的仓位上我是一个长线交易者,在相反的头寸上我是一个短线的交易者。” 今日受利好政策驱动,港股尾盘应声大涨, $A50指数期货直线拉升收涨4.66%, $恒生指数 HSI.HK$ 直线拉升近3%! 重返2万点上方; $恒生科技指数 HSTECH.HK$ 涨4.3%。 正好财妈下午开盘后按符合波段策略的信号,布局了 $A50指数主连(2412) (CNmain.SG)$ 的多单,虽然当时不知是政策出来了,没有格局卖飞了, 但也靠这笔和上周五的交易让波段账户本月收益达到了27%。做到了一次盈亏比达到13:1的日内波段。 昨天有个在尝试把基本面与技术面结合,也就是基本面选股,技术面择时的朋友说; 他听到别人说,巴菲特曾经说过如果他管理的资产只有100万,他可以做到年化50%的收益! 这让朋友觉得他目前15-20%的收益目标太保守了,要好好反省一下。 我的建议是没必要因为这句话就去反省,巴菲特只有一个,过高的目标反而会造成激进的交易。 在市场中交易,亏损是自己可以控制的,大盈利需要行情的配合,不好的年份,哪怕是巴菲特也难免亏损。 目标合理可稳定实现比高不可攀更有利于复利。 更何况巴菲特还说过:我们常想的不是怎么获得超高的回报率,而是始终牢记永远不亏钱。 今天就目前使用的波段交易策略,谈谈对波段目标的一些思考。 01—决定一笔波段交易持仓时间的三要素 在《克罗谈投资策略》一书中,期货长线大师斯坦利・克罗说: 我在自己的交易中一直坚持一种双重策略,即在盈利的仓位上我是一个长线交易者,在相反的头寸上我是一个短线的交易者。 细想来确实该如此,这说的不就是截断亏损,让利润奔跑嘛。 这一点在沪上十二少的大部分交易中也可看到, 由此发现,决定一笔波段交易持仓时间
决定一笔波段交易持仓时间的三要素
# 晒晒我的复盘笔记
精彩
练习两年半:
稳扎稳打的策略,别急着追高
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1
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2
编组 21备份 2
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6,235
对王之王
·
2024-12-09
$TSLA 20260116 510.0 CALL$
可惜买少了
$TSLA 20260116 510.0 CALL$ 可惜买少了
# 晒晒更赚钱
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1
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3
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4,178
Shine_步步为营
·
2024-12-09
$ADBE 20241220 600.0 CALL$
已经有的buy call涨的差不多了,就等着财报了。 现在需要做对一下对冲了,可以降低持仓成本。当然也会限制收益。
$ADBE 20241220 600.0 CALL$ 已经有的buy call涨的差不多了,就等着财报了。 现在需要做对一下对冲了,可以降低持仓成本。当然...
# 晒晒更赚钱
精彩
姊妹七个:
对冲可以稳妥不少,风险控制要做好
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1
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3
编组 21备份 2
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6,629
韭菲特_何
·
2024-12-09
$老虎证券(TIGR)$
不说了,十倍股,拿好!
$老虎证券(TIGR)$ 不说了,十倍股,拿好!
# 晒晒更赚钱
回复
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10
编组 21备份 2
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8,312
美股猎人USSTOCK
·
2024-12-09
本周展望:关键数据或将考验美联储2%通胀目标
本周将是非常重要的一周,周二将公布最终的第三季度生产率数据,周三将公布消费者物价指数 (CPI) ,周四将公布生产者物价指数 (PPI),周五将公布进出口价格。 (本文将展示大量数据图表,如果对大家有帮助记得关注我!!!) 预计 CPI 将环比上涨 0.3%,高于上月的 0.2%,同时核心 CPI 预计也将环比上涨 0.3%。 预计总体 CPI 同比涨幅将从 2.6% 升至 2.7%,而核心 CPI 同比涨幅预计将达到 3.3%,与上月持平。预计 11 月份 PPI 环比涨幅将从 0.2% 升至 0.3%,同比涨幅将从 2.4% 升至 2.6%。 自 6 月触底以来,环比 CPI 一直在稳步上升。如果 CPI 掉期市场正确,且该数字为 0.27%,则将创下 4 月份以来的最高 CPI 涨幅。 令人担忧的是,目前预计 12 月通胀率将环比上涨 0.4%。美联储认为通胀率已回升至 2%,因此结果仍不确定。 与此同时,正如上周所指出的那样,市场压力似乎仍在持续。标普 500总回报指数期货 12 月合约和 1 月合约之间的价差约为 57.5,而 3 月合约的价差则变为负值。 这表明,目前,一月份到期的合同的成本很高,但三月份的成本会迅速下降。 这可能表明融资成本上升,市场开始承受某种形式的压力。如果这些压力持续或恶化,成本将变得难以承受,从而引发去杠杆事件。 新年伊始,成本出现这种上涨并不罕见,过去三年都是如此。然而,今年的成本几乎是前几年的两倍,这让这一情况变得尤为有趣。 与前几年相比,市场流动性无疑有所减少,逆回购工具目前仅为 1,300 亿美元,低于 2.5 万亿美元的峰值。 此外,一级交易商回购活动最近激增,表明股票支持回购协议有所增加,其中股票被用作抵押品来筹集现金。这可能是流动性紧张加剧的迹象。 此时,10 天和 20 天实际波动率已大幅下降,至少目前看来已接近底部。这
本周展望:关键数据或将考验美联储2%通胀目标
# 25个基点,符合预期!.SPX还能继续涨吗?
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编组 21备份 2
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8,467
Shine_步步为营
·
2024-12-09
我的投资框架一
我的投资框架
$标普500(.SPX)$
投资框架是从下往上的金字塔。 宏观经济 决定了大盘走势。 基本面分析决定了选股逻辑。 技术分析决定了买卖点。 今天先说说我对技术分析的看法。 # 我对技术分析的看法 纯粹技术学派信徒主张,价格走势中存在一种形而上学的必然性(metaphysical inevitability),它们是由命运、“上帝”、演化或某种宇宙的力量决定的,经济分析与预测仅是要寻找正确的相关性或循环时间结构,阐明这些价格走势的性质。 试图以严格的循环理论或纯粹的数学方法预测未来,完全忽略市场活动中的主观性质。另外,这种态度也忽略了政府干预与联邦储备政策对长期趋势所造成的明确影响。 技术分析模型拟定投机或投资决策,并预测未来走势的幅度大小与时间长短,其业绩将缺乏一致性——市况会急速地变化。就第二种情况来说,理论结构实际上将妨碍健全的推论与分析。总之,市况将改变,市场参与者的态度也将改变,这类技术模型终究也会无效。 我必须再度强调,此处所谈论的并不是指所有的技术分析方法与运用,我仅指其中某些学派,他们主张:未来一切都已经预先确定,并因此而能以严格的数学模型来预测未来。 技术分析可以提供重要的信息,但需要以合理的态度来看待它:技术分析是归纳重复发生之价格模式的一种方法。这些价格模式之所以产生,主要是因为市场参与者在拟定决策时,都具备类似的心理结构。在整个历史上,市场对类似情况通常都会产生特定的反应,而技术分析的最大贡献便是提供一种方法,以衡量这种反应的趋势。 在这种认识之下,技术分析可以为市场分析与经济预测提供一个新的观察角度,这是投机者与投资者经常忽略的一个领域。经过适当的了解与正确的界定,技术分析可以扩展市场知识的领域,并显示某些原本无法察觉的获利机会。
我的投资框架一
# 分享我的交易策略
精彩
海明威78:
听起来你的框架很全面,技术分析确实是个重要工具
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1
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1.05万
狮子做趋势交易
·
2024-12-09
上周有外资大笔买入Chau和Yinn的看涨期权,好像一共花了1亿多美金。 这两ETF本身已经是两倍三倍的了,再加上看涨期权,不清楚这两笔期权的到期是什么时间,但是我猜两笔交易今晚恐怕都要翻倍了。 过一个周末赚一个亿,这也太狠了。十有八九要获利了结的。 我周五也做了两笔买入,不过我胆子小很多,手笔也小很多。 老虎周五高开低走,我在早盘买入后就被套牢了。不过看样子今晚就能帮我解套了。 在老虎这支股票上,似乎运气都不错。
$老虎证券(TIGR)$
$恒生指数(HSI)$
$中国海外互联网ETF-KraneShares(KWEB)$
上周有外资大笔买入Chau和Yinn的看涨期权,好像一共花了1亿多美金。 这两ETF本身已经是两倍三倍的了,再加上看涨期权,不清楚这两笔期权的到期是什么时...
精彩
Xzhouz:
其他地方看的买的20号到期的
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4
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5
编组 21备份 2
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8,357
一天一世界
·
2024-12-09
“稳了!毛戈平(01318.HK)暗盘+50.67%,nice。”聊聊最近的港股打新,港股打新怎么玩。
重磅会议一开,港股尾盘齐刷刷往上涨,咱A股收盘了,没办法,先干瞪眼,不过,代表中国资产的富时中国A50期指提前反馈,大涨+4.66%,目前还在延续上涨走势,A股明日大概率也是如此。咱不去分析内容,也不太懂,总之他就是利好讯息,各路媒体,包括一些官媒,用的词更为夸张,史诗级利好! 嗐,咱媒体总是这幅样子。关于市场讯息不多讲,参见文章:关于股市讯息的一点经验之谈。现在,毫无疑问,明天确定是大涨,跳空高开,但是明日追涨的朋友,却不好说,是震荡走高,还是高开低走,拭目以待。 原本今天走势平平无奇,想来今日暗盘的
$毛戈平(01318)$
毛戈平,大概率也会惨淡收场,涨幅就如前面所说,10%~25%的合理预期。现在结合这个利好,市场风向转向,预期又高了不少,好家伙,今日暗盘便是亮瞎了我眼。 如此大涨,挺好的,大家都其乐融融。当前的港股新股市场太需要一个赚钱的热门股来点燃市场,刺激打新者了。 嘿嘿,1手党中签,深藏功与名。 过去一段时间,很久很久,我都很少去提到港股打新,最近更新的内容围绕为此,主要是看到市场有所变化了。很明显,自9.24新政以来,A股市场转向至今,港股也是同样受此影响,进而也会传导到打新市场 如下图所示,自10月以来,累计18家企业IPO,就表现来说,涨跌参半,8只首日收涨,9只首日下跌,5只截止目前实现累计上涨,12只累计下跌(数据暂不包括毛戈平哦)。 另外,我们也可以得出一个很明显的策略:暗盘可以持股,但首日就要坚持卖出,不能常持。 别看大部分博主分析新股的基本面、融资情况等方方面面的,说的头头是道,其实新股的涨跌全靠市场各路资金的合力,在估值合理的情况下,涨跌很微妙的。 之前看了一个同行的看法,不谋而合。港股打新,要不要参与,要看这3点:基本面、筹码情况、市场
“稳了!毛戈平(01318.HK)暗盘+50.67%,nice。”聊聊最近的港股打新,港股打新怎么玩。
# 晒晒更赚钱
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得失缘:
近期港股热度回升,打新机会多!根据趋势,明天大涨要注意控制仓位
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neil44
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2024-12-09
$毛戈平(01318)$
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$毛戈平(01318)$ 牛逼!
# 晒晒更赚钱
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