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量化交易小菜鸟
记录我如何靠量化交易以小博大,创造奇迹
IP属地:重庆
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量化交易小菜鸟
量化交易小菜鸟
·
2023-06-09
TSLA期权量化策略搭建。
要想以小博大,期权是最好的选择。我选择了交易活跃且经常有大行情的TSLA来构建策略。 初步思路: 特斯拉交易活跃,隐含波动率也偏大,导致期权价格偏高。以周五到期合约为例,周一正股价格对应期权溢价率可以达到4%。所以交易时间最好定在周三至周五。 最好日内交易,见好就收,隔日不确定因素太多,用概率来开平仓,排除赌的因素。 既然日内策略,最合适的粒度就是5分钟,既能抓住大趋势,信号也不会太滞后。 根据初步思路,构建的MACD为主指标的策略。 回测结果不太理想 尽管近期TSLA整体趋势上涨,但是当开盘时已经吃尽了日内涨幅时就会进入全天横盘,所以尽管判断对趋势也抵消不了时间价值衰减速度,策略不太理想。 改进思路: 当前行情不太适合日内,尝试改为基础粒度15分钟的跨日策略。只要继续整体趋势向上,隔日风险就可控。 MACD不适合横盘行情,改用虽然滞后但是趋势判断更准确的BBI。 用BOLL指标1H粒度趋势作为大趋势与条件,并不在大幅跳开的交易日建仓,提高成功率。 15分钟粒度BBI指标为基础的策略 回测结果不错 因为设置100%余额开仓,且行情较好,股价无明显回撤,所以较大胜率时就会带来非常不错的回报。 实盘策略昨天启动了,在图中最后一个B点处按计划开仓。就看能不能平到好的价位了。 盘后总结—6月12日更新: 上周五TSLA开盘暴涨6%,我选择手动平仓获利了结(不到10秒策略也触发了平仓信号),目前仍然以测试量化策略为主所以仅买了一手,赚了1400刀,盈利1000%,策略测试稳定后我会逐步加码开仓。平仓后我在高位反手手动买了put,最高盈利达到318%,可惜没拿住。 开盘手动平仓,与量化触发价格差$1左右 反手手动做了put,可惜没拿住最后归零了。 总结: 原则上,不应该人为去干预策略的决策,但是大幅高开的行情往往在开盘时已经消耗了全部利好,可以手动平仓获利了结。 我手动和量化策略同时在
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TSLA期权量化策略搭建。
量化交易小菜鸟
量化交易小菜鸟
·
2023-06-01
亏完百万仍然不死心的韭菜决定靠量化交易翻身。
我跟大多数韭菜一样,最开接触炒股是从A股开始,毫无证券基础知识就懵懵懂懂入市。早期关注了一堆所谓“股评家”,跟风买各种股票,偶尔撞大运买到一个涨停板,立马自封股神,开始胡乱操作,短短几个月就将60W股本亏了90%。这个时候开始接触美股,自大的我并没有吸取教训反而得出结论,是A股的T+1限制了本股神的发挥,于是转战老虎。 美股可以日内多次交易,确实刺激,小亏几次后,我开始意识到自己证券知识欠缺,开始慢慢研究各种指标,了解啥是市盈率、市净率等,但是学得越多越想学以致用,反而决策时变得犹豫不决。2018年左右,中概股的整体行情开始下行,但我的盈利状况明显好于炒A股时期,又开始盲目自信,于是开通了期权操作权限。不出所料,期权的价格波动太大,连什么是期权时间价值和隐含波动率都不懂的我,尽管时常判断对正股趋势,仍然陷入大幅亏损,入金的5W美金也所剩无几。 腾讯控股年度走势 我开始怀疑自己,于是冷静了一段时间不碰股票,直到有一天我突发灵感,既然我无法准确判断期权价格趋势,而期权在接近末日时间价值较低时很容易出现暴涨几倍甚至几十倍的情况,我为何不两边下注呢?只要CALL和PUT任意一个合约涨幅超过100%我就可以盈利了。于是我继续入金,开双向开仓期权,赌财报、世界大事、法定节假日,任何可能导致股价大幅波动的因素我都双开仓。早期效果确实不错,经常出现投入本金5W,一夜赚几十W的情况,但是这种手法的缺点就是大起大落,尤其是财报双杀时… 狂奔的鹅 多次大起大落后,股本已亏损殆尽,A股加美股累计亏损100W左右。好在我不是纯赌徒不会贷款甚至借钱来炒股,还有家庭责任抗在肩上,冷静分析,我实在没有炒股的天分,2019年后我开始远离股市,我总结了我亏损的原因: 情绪管理糟糕 尽管我很理性,比如亏完后能及时止损远离股市,但是一旦开始操盘,就不由自主将“愿望”当成了“预测”,比如涨的够多了,贪婪让我希望继续
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亏完百万仍然不死心的韭菜决定靠量化交易翻身。
量化交易小菜鸟
量化交易小菜鸟
·
2023-05-27
$特斯拉(TSLA)$
果然还是量化交易给力
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量化交易小菜鸟
量化交易小菜鸟
·
2019-05-20
$谷歌A(GOOGL)$ Google断供华为实则杀敌一万自损三千啊 长远看对华为不一定是坏事 但是对于Google肯定是利空啊 我赌今晚跌2个点以上
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2
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量化交易小菜鸟
量化交易小菜鸟
·
2019-05-17
$百度(BIDU)$ 挂个137居然成交了 最低价也没到137啊 啥逻辑?
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量化交易小菜鸟
量化交易小菜鸟
·
2019-05-10
$苹果(AAPL)$ 中国要报复 苹果肯定最先遭殃吧[捂脸]
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量化交易小菜鸟
量化交易小菜鸟
·
2019-05-10
$苹果(AAPL)$ 为什么加关税对股市没有任何影响 谁解释下 可惜我的空单
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量化交易小菜鸟
量化交易小菜鸟
·
2019-04-26
$埃克森美孚(XOM)$ 这么不热门么 都没人讨论
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量化交易小菜鸟
量化交易小菜鸟
·
2019-04-23
$可口可乐(KO)$ 跌2.5个点以上 欢迎打脸
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量化交易小菜鸟
量化交易小菜鸟
·
2018-12-22
$阿里巴巴(BABA)$ 尾盘这样的天量买入都拉不动?
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初步思路: 特斯拉交易活跃,隐含波动率也偏大,导致期权价格偏高。以周五到期合约为例,周一正股价格对应期权溢价率可以达到4%。所以交易时间最好定在周三至周五。 最好日内交易,见好就收,隔日不确定因素太多,用概率来开平仓,排除赌的因素。 既然日内策略,最合适的粒度就是5分钟,既能抓住大趋势,信号也不会太滞后。 根据初步思路,构建的MACD为主指标的策略。 回测结果不太理想 尽管近期TSLA整体趋势上涨,但是当开盘时已经吃尽了日内涨幅时就会进入全天横盘,所以尽管判断对趋势也抵消不了时间价值衰减速度,策略不太理想。 改进思路: 当前行情不太适合日内,尝试改为基础粒度15分钟的跨日策略。只要继续整体趋势向上,隔日风险就可控。 MACD不适合横盘行情,改用虽然滞后但是趋势判断更准确的BBI。 用BOLL指标1H粒度趋势作为大趋势与条件,并不在大幅跳开的交易日建仓,提高成功率。 15分钟粒度BBI指标为基础的策略 回测结果不错 因为设置100%余额开仓,且行情较好,股价无明显回撤,所以较大胜率时就会带来非常不错的回报。 实盘策略昨天启动了,在图中最后一个B点处按计划开仓。就看能不能平到好的价位了。 盘后总结—6月12日更新: 上周五TSLA开盘暴涨6%,我选择手动平仓获利了结(不到10秒策略也触发了平仓信号),目前仍然以测试量化策略为主所以仅买了一手,赚了1400刀,盈利1000%,策略测试稳定后我会逐步加码开仓。平仓后我在高位反手手动买了put,最高盈利达到318%,可惜没拿住。 开盘手动平仓,与量化触发价格差$1左右 反手手动做了put,可惜没拿住最后归零了。 总结: 原则上,不应该人为去干预策略的决策,但是大幅高开的行情往往在开盘时已经消耗了全部利好,可以手动平仓获利了结。 我手动和量化策略同时在","listText":"要想以小博大,期权是最好的选择。我选择了交易活跃且经常有大行情的TSLA来构建策略。 初步思路: 特斯拉交易活跃,隐含波动率也偏大,导致期权价格偏高。以周五到期合约为例,周一正股价格对应期权溢价率可以达到4%。所以交易时间最好定在周三至周五。 最好日内交易,见好就收,隔日不确定因素太多,用概率来开平仓,排除赌的因素。 既然日内策略,最合适的粒度就是5分钟,既能抓住大趋势,信号也不会太滞后。 根据初步思路,构建的MACD为主指标的策略。 回测结果不太理想 尽管近期TSLA整体趋势上涨,但是当开盘时已经吃尽了日内涨幅时就会进入全天横盘,所以尽管判断对趋势也抵消不了时间价值衰减速度,策略不太理想。 改进思路: 当前行情不太适合日内,尝试改为基础粒度15分钟的跨日策略。只要继续整体趋势向上,隔日风险就可控。 MACD不适合横盘行情,改用虽然滞后但是趋势判断更准确的BBI。 用BOLL指标1H粒度趋势作为大趋势与条件,并不在大幅跳开的交易日建仓,提高成功率。 15分钟粒度BBI指标为基础的策略 回测结果不错 因为设置100%余额开仓,且行情较好,股价无明显回撤,所以较大胜率时就会带来非常不错的回报。 实盘策略昨天启动了,在图中最后一个B点处按计划开仓。就看能不能平到好的价位了。 盘后总结—6月12日更新: 上周五TSLA开盘暴涨6%,我选择手动平仓获利了结(不到10秒策略也触发了平仓信号),目前仍然以测试量化策略为主所以仅买了一手,赚了1400刀,盈利1000%,策略测试稳定后我会逐步加码开仓。平仓后我在高位反手手动买了put,最高盈利达到318%,可惜没拿住。 开盘手动平仓,与量化触发价格差$1左右 反手手动做了put,可惜没拿住最后归零了。 总结: 原则上,不应该人为去干预策略的决策,但是大幅高开的行情往往在开盘时已经消耗了全部利好,可以手动平仓获利了结。 我手动和量化策略同时在","text":"要想以小博大,期权是最好的选择。我选择了交易活跃且经常有大行情的TSLA来构建策略。 初步思路: 特斯拉交易活跃,隐含波动率也偏大,导致期权价格偏高。以周五到期合约为例,周一正股价格对应期权溢价率可以达到4%。所以交易时间最好定在周三至周五。 最好日内交易,见好就收,隔日不确定因素太多,用概率来开平仓,排除赌的因素。 既然日内策略,最合适的粒度就是5分钟,既能抓住大趋势,信号也不会太滞后。 根据初步思路,构建的MACD为主指标的策略。 回测结果不太理想 尽管近期TSLA整体趋势上涨,但是当开盘时已经吃尽了日内涨幅时就会进入全天横盘,所以尽管判断对趋势也抵消不了时间价值衰减速度,策略不太理想。 改进思路: 当前行情不太适合日内,尝试改为基础粒度15分钟的跨日策略。只要继续整体趋势向上,隔日风险就可控。 MACD不适合横盘行情,改用虽然滞后但是趋势判断更准确的BBI。 用BOLL指标1H粒度趋势作为大趋势与条件,并不在大幅跳开的交易日建仓,提高成功率。 15分钟粒度BBI指标为基础的策略 回测结果不错 因为设置100%余额开仓,且行情较好,股价无明显回撤,所以较大胜率时就会带来非常不错的回报。 实盘策略昨天启动了,在图中最后一个B点处按计划开仓。就看能不能平到好的价位了。 盘后总结—6月12日更新: 上周五TSLA开盘暴涨6%,我选择手动平仓获利了结(不到10秒策略也触发了平仓信号),目前仍然以测试量化策略为主所以仅买了一手,赚了1400刀,盈利1000%,策略测试稳定后我会逐步加码开仓。平仓后我在高位反手手动买了put,最高盈利达到318%,可惜没拿住。 开盘手动平仓,与量化触发价格差$1左右 反手手动做了put,可惜没拿住最后归零了。 总结: 原则上,不应该人为去干预策略的决策,但是大幅高开的行情往往在开盘时已经消耗了全部利好,可以手动平仓获利了结。 我手动和量化策略同时在","images":[{"img":"https://static.tigerbbs.com/ed74562986381f44fc88370a5ebeb9ad","width":"1988","height":"1003"},{"img":"https://static.tigerbbs.com/906f8c480286dcbb080e2dfa30572648","width":"1261","height":"608"},{"img":"https://static.tigerbbs.com/ef64f05aaa0c6df9f7a79982b5ce15e4","width":"2037","height":"1001"}],"top":1,"highlighted":1,"essential":2,"paper":2,"likeSize":22,"commentSize":6,"repostSize":1,"link":"https://laohu8.com/post/185355123122232","isVote":1,"tweetType":1,"viewCount":8851,"authorTweetTopStatus":1,"verified":2,"comments":[{"author":{"id":"10000000000010328","authorId":"10000000000010328","name":"准备好了大忽悠","avatar":"https://static.tigerbbs.com/c05637de10fca666e37d2c570e52012a","crmLevel":1,"crmLevelSwitch":0,"idStr":"10000000000010328","authorIdStr":"10000000000010328"},"content":"选择TSLA这样活跃且波动率较大的标的物,可以让期权价格偏高,提高盈利的可能性。","text":"选择TSLA这样活跃且波动率较大的标的物,可以让期权价格偏高,提高盈利的可能性。","html":"选择TSLA这样活跃且波动率较大的标的物,可以让期权价格偏高,提高盈利的可能性。"}],"imageCount":6,"langContent":"CN","totalScore":0},{"id":182637117399184,"gmtCreate":1685597670189,"gmtModify":1685598798530,"author":{"id":"3503623062840146","authorId":"3503623062840146","name":"量化交易小菜鸟","avatar":"https://static.tigerbbs.com/015b4101bea28471e98627116cd71a39","crmLevel":1,"crmLevelSwitch":0,"followedFlag":false,"idStr":"3503623062840146","authorIdStr":"3503623062840146"},"themes":[],"title":"亏完百万仍然不死心的韭菜决定靠量化交易翻身。","htmlText":"我跟大多数韭菜一样,最开接触炒股是从A股开始,毫无证券基础知识就懵懵懂懂入市。早期关注了一堆所谓“股评家”,跟风买各种股票,偶尔撞大运买到一个涨停板,立马自封股神,开始胡乱操作,短短几个月就将60W股本亏了90%。这个时候开始接触美股,自大的我并没有吸取教训反而得出结论,是A股的T+1限制了本股神的发挥,于是转战老虎。 美股可以日内多次交易,确实刺激,小亏几次后,我开始意识到自己证券知识欠缺,开始慢慢研究各种指标,了解啥是市盈率、市净率等,但是学得越多越想学以致用,反而决策时变得犹豫不决。2018年左右,中概股的整体行情开始下行,但我的盈利状况明显好于炒A股时期,又开始盲目自信,于是开通了期权操作权限。不出所料,期权的价格波动太大,连什么是期权时间价值和隐含波动率都不懂的我,尽管时常判断对正股趋势,仍然陷入大幅亏损,入金的5W美金也所剩无几。 腾讯控股年度走势 我开始怀疑自己,于是冷静了一段时间不碰股票,直到有一天我突发灵感,既然我无法准确判断期权价格趋势,而期权在接近末日时间价值较低时很容易出现暴涨几倍甚至几十倍的情况,我为何不两边下注呢?只要CALL和PUT任意一个合约涨幅超过100%我就可以盈利了。于是我继续入金,开双向开仓期权,赌财报、世界大事、法定节假日,任何可能导致股价大幅波动的因素我都双开仓。早期效果确实不错,经常出现投入本金5W,一夜赚几十W的情况,但是这种手法的缺点就是大起大落,尤其是财报双杀时… 狂奔的鹅 多次大起大落后,股本已亏损殆尽,A股加美股累计亏损100W左右。好在我不是纯赌徒不会贷款甚至借钱来炒股,还有家庭责任抗在肩上,冷静分析,我实在没有炒股的天分,2019年后我开始远离股市,我总结了我亏损的原因: 情绪管理糟糕 尽管我很理性,比如亏完后能及时止损远离股市,但是一旦开始操盘,就不由自主将“愿望”当成了“预测”,比如涨的够多了,贪婪让我希望继续","listText":"我跟大多数韭菜一样,最开接触炒股是从A股开始,毫无证券基础知识就懵懵懂懂入市。早期关注了一堆所谓“股评家”,跟风买各种股票,偶尔撞大运买到一个涨停板,立马自封股神,开始胡乱操作,短短几个月就将60W股本亏了90%。这个时候开始接触美股,自大的我并没有吸取教训反而得出结论,是A股的T+1限制了本股神的发挥,于是转战老虎。 美股可以日内多次交易,确实刺激,小亏几次后,我开始意识到自己证券知识欠缺,开始慢慢研究各种指标,了解啥是市盈率、市净率等,但是学得越多越想学以致用,反而决策时变得犹豫不决。2018年左右,中概股的整体行情开始下行,但我的盈利状况明显好于炒A股时期,又开始盲目自信,于是开通了期权操作权限。不出所料,期权的价格波动太大,连什么是期权时间价值和隐含波动率都不懂的我,尽管时常判断对正股趋势,仍然陷入大幅亏损,入金的5W美金也所剩无几。 腾讯控股年度走势 我开始怀疑自己,于是冷静了一段时间不碰股票,直到有一天我突发灵感,既然我无法准确判断期权价格趋势,而期权在接近末日时间价值较低时很容易出现暴涨几倍甚至几十倍的情况,我为何不两边下注呢?只要CALL和PUT任意一个合约涨幅超过100%我就可以盈利了。于是我继续入金,开双向开仓期权,赌财报、世界大事、法定节假日,任何可能导致股价大幅波动的因素我都双开仓。早期效果确实不错,经常出现投入本金5W,一夜赚几十W的情况,但是这种手法的缺点就是大起大落,尤其是财报双杀时… 狂奔的鹅 多次大起大落后,股本已亏损殆尽,A股加美股累计亏损100W左右。好在我不是纯赌徒不会贷款甚至借钱来炒股,还有家庭责任抗在肩上,冷静分析,我实在没有炒股的天分,2019年后我开始远离股市,我总结了我亏损的原因: 情绪管理糟糕 尽管我很理性,比如亏完后能及时止损远离股市,但是一旦开始操盘,就不由自主将“愿望”当成了“预测”,比如涨的够多了,贪婪让我希望继续","text":"我跟大多数韭菜一样,最开接触炒股是从A股开始,毫无证券基础知识就懵懵懂懂入市。早期关注了一堆所谓“股评家”,跟风买各种股票,偶尔撞大运买到一个涨停板,立马自封股神,开始胡乱操作,短短几个月就将60W股本亏了90%。这个时候开始接触美股,自大的我并没有吸取教训反而得出结论,是A股的T+1限制了本股神的发挥,于是转战老虎。 美股可以日内多次交易,确实刺激,小亏几次后,我开始意识到自己证券知识欠缺,开始慢慢研究各种指标,了解啥是市盈率、市净率等,但是学得越多越想学以致用,反而决策时变得犹豫不决。2018年左右,中概股的整体行情开始下行,但我的盈利状况明显好于炒A股时期,又开始盲目自信,于是开通了期权操作权限。不出所料,期权的价格波动太大,连什么是期权时间价值和隐含波动率都不懂的我,尽管时常判断对正股趋势,仍然陷入大幅亏损,入金的5W美金也所剩无几。 腾讯控股年度走势 我开始怀疑自己,于是冷静了一段时间不碰股票,直到有一天我突发灵感,既然我无法准确判断期权价格趋势,而期权在接近末日时间价值较低时很容易出现暴涨几倍甚至几十倍的情况,我为何不两边下注呢?只要CALL和PUT任意一个合约涨幅超过100%我就可以盈利了。于是我继续入金,开双向开仓期权,赌财报、世界大事、法定节假日,任何可能导致股价大幅波动的因素我都双开仓。早期效果确实不错,经常出现投入本金5W,一夜赚几十W的情况,但是这种手法的缺点就是大起大落,尤其是财报双杀时… 狂奔的鹅 多次大起大落后,股本已亏损殆尽,A股加美股累计亏损100W左右。好在我不是纯赌徒不会贷款甚至借钱来炒股,还有家庭责任抗在肩上,冷静分析,我实在没有炒股的天分,2019年后我开始远离股市,我总结了我亏损的原因: 情绪管理糟糕 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