期权之美
2022-11-20
$拼多多(PDD)$
小钱好挣,胆大心细脸皮厚,基本上能有所收获。
大钱还在学习中,特别是单腿call option。
PDD最近已经涨很多,关键是财报还没出来,买入点和卖出点都不好把握🤔🤔🤔
@期权之美:
$PDD 20221118 80.0 CALL$ $PDD 20221118 80.0 CALL$ 周五中概又大涨,再次迎来熟悉的PDD出现10%的涨幅,继续出手,卖了几手两周后行权价$80的put.我的操作思路是: 1,选择两周后1118,是因为还没到财报,波动应该没那么大; 2,选择$80的行权价,因为是股价大概$61左右执行的,如果真的再两周能涨到80,那是30%+的涨幅,卖飞了也认了,当给中概大涨加加油; 3,还是一贯的思路:在股价大涨的时候(财报除外),卖出高价的call。当然,股价一般选择偏离目前价位20%+以上,并且一个月内的期权比较合适,要不很容易卖飞。之后就可以在股价回落的时候套利CC(平仓)。总之,如果持有正股,一定要卖covered call,在大波动中为自己的长期头寸赚取时间价值。 P.S.拼多多应该月底出财报,最近在看12月权的各种call的数据,希望能分析出来哪个的凸面更大,到时候可以提前部署。
免责声明:上述内容仅代表发帖人个人观点,不构成本平台的任何投资建议。
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<a href=\"https://laohu8.com/S/PDD\">$拼多多(PDD)$ </a><v-v data-views=\"1\"></v-v> <p>小钱好挣,胆大心细脸皮厚,基本上能有所收获。</p> <p>大钱还在学习中,特别是单腿call option。</p> <p>PDD最近已经涨很多,关键是财报还没出来,买入点和卖出点都不好把握🤔🤔🤔</p> <t-t type=\"img\" src=\"https://static.tigerbbs.com/d078c6723ee80ba1bb13784a0411ccda\"></t-t></body></html>","htmlText":"<html><head></head><body> <a href=\"https://laohu8.com/S/PDD\">$拼多多(PDD)$ </a><v-v data-views=\"1\"></v-v> <p>小钱好挣,胆大心细脸皮厚,基本上能有所收获。</p> <p>大钱还在学习中,特别是单腿call option。</p> <p>PDD最近已经涨很多,关键是财报还没出来,买入点和卖出点都不好把握🤔🤔🤔</p> <t-t type=\"img\" src=\"https://static.tigerbbs.com/d078c6723ee80ba1bb13784a0411ccda\"></t-t></body></html>","text":"$拼多多(PDD)$ 小钱好挣,胆大心细脸皮厚,基本上能有所收获。 大钱还在学习中,特别是单腿call option。 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true}","description":"欢迎各位虎友说说你的期权交易心得,无论是赚钱的心得还是亏钱的经验,都有助于共同成长。我们会选取有价值的分析,赠予期权免佣卡。另外还会随机3位虎友赠予老虎心动周边","image":"https://static.tigerbbs.com/2dd87e13cdad12d60a0adcd7c7f3284f"}],"images":[{"img":"https://static.tigerbbs.com/d9ad4d40fc9790fd923551913d8d90ed","width":"1284","height":"2778"}],"coverImages":[{"img":"https://static.tigerbbs.com/d9ad4d40fc9790fd923551913d8d90ed","width":"1284","height":"2778"}],"html":"<html><head></head><body><p><a href=\"https://laohu8.com/OPT/PDD 20221118 80.0 CALL\">$PDD 20221118 80.0 CALL$ </a><a href=\"https://laohu8.com/OPT/PDD 20221118 80.0 CALL\">$PDD 20221118 80.0 CALL$</a> </p> <p>周五中概又大涨,再次迎来熟悉的PDD出现10%的涨幅,继续出手,卖了几手两周后行权价$80的put.我的操作思路是:</p> <p>1,选择两周后1118,是因为还没到财报,波动应该没那么大;</p> <p>2,选择$80的行权价,因为是股价大概$61左右执行的,如果真的再两周能涨到80,那是30%+的涨幅,卖飞了也认了,当给中概大涨加加油;</p> <p>3,还是一贯的思路:在股价大涨的时候(财报除外),卖出高价的call。当然,股价一般选择偏离目前价位20%+以上,并且一个月内的期权比较合适,要不很容易卖飞。之后就可以在股价回落的时候套利CC(平仓)。总之,如果持有正股,一定要卖covered call,在大波动中为自己的长期头寸赚取时间价值。</p> <p><br></p> <p>P.S.拼多多应该月底出财报,最近在看12月权的各种call的数据,希望能分析出来哪个的凸面更大,到时候可以提前部署。</p> <img src=\"https://static.tigerbbs.com/d9ad4d40fc9790fd923551913d8d90ed\" tg-width=\"1284\" tg-height=\"2778\"></body></html>","htmlText":"<html><head></head><body><p><a href=\"https://laohu8.com/OPT/PDD 20221118 80.0 CALL\">$PDD 20221118 80.0 CALL$ </a><a href=\"https://laohu8.com/OPT/PDD 20221118 80.0 CALL\">$PDD 20221118 80.0 CALL$</a> </p> <p>周五中概又大涨,再次迎来熟悉的PDD出现10%的涨幅,继续出手,卖了几手两周后行权价$80的put.我的操作思路是:</p> <p>1,选择两周后1118,是因为还没到财报,波动应该没那么大;</p> <p>2,选择$80的行权价,因为是股价大概$61左右执行的,如果真的再两周能涨到80,那是30%+的涨幅,卖飞了也认了,当给中概大涨加加油;</p> <p>3,还是一贯的思路:在股价大涨的时候(财报除外),卖出高价的call。当然,股价一般选择偏离目前价位20%+以上,并且一个月内的期权比较合适,要不很容易卖飞。之后就可以在股价回落的时候套利CC(平仓)。总之,如果持有正股,一定要卖covered call,在大波动中为自己的长期头寸赚取时间价值。</p> <p><br></p> <p>P.S.拼多多应该月底出财报,最近在看12月权的各种call的数据,希望能分析出来哪个的凸面更大,到时候可以提前部署。</p> <img src=\"https://static.tigerbbs.com/d9ad4d40fc9790fd923551913d8d90ed\" tg-width=\"1284\" tg-height=\"2778\"></body></html>","text":"$PDD 20221118 80.0 CALL$ $PDD 20221118 80.0 CALL$ 周五中概又大涨,再次迎来熟悉的PDD出现10%的涨幅,继续出手,卖了几手两周后行权价$80的put.我的操作思路是: 1,选择两周后1118,是因为还没到财报,波动应该没那么大; 2,选择$80的行权价,因为是股价大概$61左右执行的,如果真的再两周能涨到80,那是30%+的涨幅,卖飞了也认了,当给中概大涨加加油; 3,还是一贯的思路:在股价大涨的时候(财报除外),卖出高价的call。当然,股价一般选择偏离目前价位20%+以上,并且一个月内的期权比较合适,要不很容易卖飞。之后就可以在股价回落的时候套利CC(平仓)。总之,如果持有正股,一定要卖covered call,在大波动中为自己的长期头寸赚取时间价值。 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