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标普500ETF(SPY)
盘后
671.30
-1.08
-0.16%
19:59 EST
672.38
-8.93
-1.31%
行情数据延迟15分钟
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期权小班长
·
03-06 22:37
大单进场,恒生可以抄底了?
$中国海外互联网ETF-KraneShares(KWEB)$
跌破200周均线后,KWEB迎来了几组有限看涨大单组合,基本都用put进行了成本对冲,反弹目标价32~33。 从到期日来看,是长线布局,即反弹不会很快开始,甚至可能还会继续震荡下探,但机构认为目前的位置值得用期权策略做对冲买入的尝试了。 分别是: 这一组看多策略成本非常低,对冲后看涨期权价格只有0.5。 sell put 24
$KWEB 20270115 24.0 PUT$
,成交量5万手 buy call 33
$KWEB 20260918 33.0 CALL$
,成交量5万手 以及 sell put 28
$KWEB 20260417 28.0 PUT$
,buy put 27
$KWEB 20260417 27.0 PUT$
buy call 32
$KWEB 20260417 32.0 CALL$
,sell call 34
大单进场,恒生可以抄底了?
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五福临门666:
感觉英伟达要启动上涨行情了!
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小虎AV
·
03-06 16:32
周五市场仍面临压力?!震荡行情下,你在等待什么机会?
Cerity Partners首席市场策略师Jim Lebenthal表示:在当前新闻周期影响下,周五市场走势可能面临一定压力。 Jim Lebenthal还就周五市场表现前景、市场对未来经济的不安情绪等话题进行了讨论。大家觉得,现在大盘是否还是以震荡为主?各类资产行业,贵金属、油气板块、科技板块、港美股、加密……后市机会在哪里? 评论区分享你的观点,一起赢取虎币奖励!
$标普500ETF(SPY)$
$纳指100ETF(QQQ)$
$黄金ETF-SPDR(GLD)$
$美国原油ETF(USO)$
$恒生科技ETF(03032)$
$比特币(BTC.USD.CC)$
周五市场仍面临压力?!震荡行情下,你在等待什么机会?
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梦想快实现:
周五中东没有缓和迹象原油继续暴涨美股继续大跌,因此在中东局势没有缓和前原油很难大跌,股市很难上涨
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艾艾妈咪是富婆
·
03-06 22:47
$标普500ETF 垂直价差 260305 PUT 669.0/PUT 675.0$
首次尝试做大盘的末日期权 , 4组put spread .
$标普500ETF 垂直价差 260305 PUT 669.0/PUT 675.0$ 首次尝试做大盘的末日期权 , 4组put spread .
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亮亮史蒂夫
·
03-07 00:17
$标普500ETF(SPY)$
新增百万期权墙680,过了就能起飞
$标普500ETF(SPY)$ 新增百万期权墙680,过了就能起飞
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期权小班长
·
03-06 01:45
10万手末日期权看跌英伟达跌破170
依旧维持周初判断,spy还要继续回调,下周回调风险依旧很高。 buy put大单: NVDA本周到期170put平仓,roll仓
$NVDA 20260313 167.5 PUT$
,delta 0.14,开仓12.6万手
$SMH 20260313 362.5 PUT$
,delta -0.124,开仓5.2万手
$MU 20260313 340.0 PUT$
,delta0.112,开仓1.9万手 sell put大单:
$AMD 20260313 170.0 PUT$
,delta -0.065,开仓5.7万手 方向未知:
$TSM 20260313 327.5 PUT$
,delta -0.166,开仓2万手 总结来看,机构做空delta绝对值选择0.1以上,sell put选绝对值0.1以下的,跟之前sell put选delta绝对值只要0.25以下相比,市场太熊了。 buy call
$IN
10万手末日期权看跌英伟达跌破170
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WendyDelia:
机构做空太猛了,我也在put对冲。
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ruan_7128
·
03-05
美联储最关心的是通胀,现在看来油价因中东战争而飙升,降息估计要推迟到下半年了
美联储最关心的是通胀,现在看来油价因中东战争而飙升,降息估计要推迟到下半年了
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JoannaDarwin:
油价飞涨真闹心,降息还得等半年!
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肖总财经
·
03-06 22:30
果然是个弱反弹!
1、 上篇文分析了战争后黄金短期大概率是下跌走势后,我又在群里建议大家短期先回避贵金属。 接着晚上就把做反弹的agq清了,然后昨晚又把美股几乎全部的金银铜仓位都止盈了。 还买了点qqq和spy的近月put来给这次战争做个保险策略,虽然买的有点晚,加起来占比连2%不到,其实也保护不了多少主仓位,主要是防止短期的一个极端情况。。 目前走势看,前天只是个超跌反弹,昨晚跌回了原形。 伊以战争导致霍尔木兹海峡不稳定,这个战略要地影响全球能源20%的输出,如果短期解决不了,油价可能会升至100-120美元。 所以目前市场主要担心的是短期通胀的失控,对全球经济和股市都是利空。 一句话概括,就是不知道战争要持续多久,如果短期很快结束,那么市场的调整就不会太久;如果短期结束不了,那么美股就会出现更好的买入机会。。 我昨晚清了大部分金银铜仓位,一方面这些仓位期权占比太大,最近的市场不稳定,对这些高β品种很不友好,震得我也吃不消;二是对策比预测更重要,如果战争短期结束不了,那么到时出现买入机会也有仓位应对。 2、 当然,预测也很重要,上篇文分析了战争后黄金的短期走势,大概率都是下跌的,但这个短期是多久,具体跌多少呢? 昨天好丽友带把萌给了我她详细的回测数据,大家看下图。 图片 图片 结论很明显,大概战争后的第25个工作日,才是黄金最佳的买入点。 战争3月初开始,接下来的30天里,交易策略上还是以稳为主! 3、 战争并没有改变ai科技的底层逻辑。 这次调整,我坚定的认为是机会而不是风险,重点还是科技人工智能,尤其是围绕存储、算力、电力等做重点。 贵金属今年预期要降低,像去年那种直线斜率的上升疯狂模式是不正常的,年涨幅在10%-15%才相对合理些。 不过这个涨幅从1月至今已经达到了。。即便长期依然看好贵金属走势,但短期看,我认为只适合低吸,不再适合追高了。。 4、 再聊下今天的几只新股。 图片 我只
果然是个弱反弹!
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亮亮史蒂夫:
1.8亿美元的680PUT墙挡住了,能突破就能强势上涨,如果突破不了,做市商会疯卖平仓保命。 [微笑]
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期权小班长
·
03-05
近期大单汇总
$微软(MSFT)$
最震惊的是微软周三开仓了15万手看涨期权大单,10万手买入看涨575,5万手买入看涨625,另外10万手做空了675call.
$MSFT 20270115 575.0 CALL$
,开仓10万手
$MSFT 20270115 625.0 CALL$
,开仓5万手
$MSFT 20270115 675.0 CALL$
,开仓5万手
$MSFT 20261218 675.0 CALL$
,开仓5万手 当下阶段似乎并没有支持MSFT涨至新高的潜在利好。但有一说一股价当前肯定是跌透了,很适合做sell put。
$标普500ETF(SPY)$
有一个典型的双卖大单是sell call710
$SPY 20260417 710.0 CALL$
,sell put 640
近期大单汇总
精彩
MabelReed:
微软期权大单真猛,跌透了卖put时机好!
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边走边读边吃
·
03-04
黄金:油价涨即通胀涨,美联储不降息,黄金大跌。
2026/3/3周二:中东冲突推升能源价格,可能加剧通胀压力,市场认为美联储将维持更长时间的高利率,也就是说不降息。同时叠加美元强势升至$99.71,今天贵金属及股市大跌。→日线图上,黄金从布林带上轨跌至中轨。预计可获得支撑。→美元指数1月15日最高$99.54,与今天高点可形成双顶压力。本文作者为澳洲认证外汇交易顾问,股价预测及技术分析专家。欢迎关注。
黄金:油价涨即通胀涨,美联储不降息,黄金大跌。
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发發虎
·
03-05
【一起发财】做时间的朋友,抄底标普,他赚了1.6万美元
很多人说投资最累的地方,不是亏钱本身,而是每天都在纠结:买什么、卖不卖、要不要换赛道。你越频繁地换,越容易被情绪牵着走——今天盯通胀,明天猜降息,后天又被地缘风险吓一跳。可真正能让普通人长期赚到钱的主线,往往简单得出奇:跟着美国大盘的长期趋势走。最近就有虎友通过配置 SPYM 拿到了 16871 的收益:他到底是怎么做到的?这篇文章就跟大家一起探讨一下他的发财秘籍,祝所有看到的朋友们都能发财。
$标普500ETF(SPY)$
$投资组合标普500指数ETF-SPDR(SPYM)$
恭喜虎友
@MedinaFamily
通过交易
$投资组合标普500指数ETF-SPDR(SPYM)$
,实现了16871的收益。欢迎以上虎友添加虎妞微信(微信:itiger2014),聊聊你的操作思路,获得老虎专访,赢取老虎限量周边🎁🎁🎁。先看标普500的走势标普的长期方向其实很简单,就是跟着美国企业盈利和流动性一起往前走。历史上它经历过无数次回撤、恐慌、加息、战争和金融危机,但拉长周期,指数还是在一轮轮波动中抬高底部。到了最近几年,这个现象更加明显:在 AI、科技巨头盈利韧性和资金偏好共同驱动下,标普500走出了新高。进入今年之后,市场情绪开始更“敏感”,一方面是指数处在相对不便宜的位置,另一方面是宏观变量变多:利率预期、通胀数据、地缘风险、产业政策,只要其中某个点突然发生变化,短期就很容易出现“先砸再说”的回撤。但你会发现,很多所谓的“回撤”,更像是趋势中
【一起发财】做时间的朋友,抄底标普,他赚了1.6万美元
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WinifredAnn:
抄底标普稳赚,爽歪歪!
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标普500ETF
所属市场
ARCA
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http://us.spdrs.com/en/etf/spdr-sp-500-etf-SPY
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该ETF价格与标普500指数波动方向相同,波动幅度约等同于标普500指数,即标普500指数上涨1%对应该ETF指数上涨约1%。
2013-01-23
SEC问询函
2009-02-23
自愿退市
分时
5日
日
周
月
数据加载中...
最高
676.11
今开
673.41
量比
1.09
最低
669.76
昨收
681.31
换手率
10.10%
热议股票
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,成交量5万手 buy call 33 <a href=\"https://laohu8.com/OPT/KWEB%2020260918%2033.0%20CALL\">$KWEB 20260918 33.0 CALL$</a> ,成交量5万手 以及 sell put 28<a href=\"https://laohu8.com/OPT/KWEB%2020260417%2028.0%20PUT\">$KWEB 20260417 28.0 PUT$</a> ,buy put 27<a href=\"https://laohu8.com/OPT/KWEB 20260417 27.0 PUT\">$KWEB 20260417 27.0 PUT$ </a> buy call 32<a href=\"https://laohu8.com/OPT/KWEB%2020260417%2032.0%20CALL\">$KWEB 20260417 32.0 CALL$</a> ,sell call 34","plainDigest":"$中国海外互联网ETF-KraneShares(KWEB)$ 跌破200周均线后,KWEB迎来了几组有限看涨大单组合,基本都用put进行了成本对冲,反弹目标价32~33。 从到期日来看,是长线布局,即反弹不会很快开始,甚至可能还会继续震荡下探,但机构认为目前的位置值得用期权策略做对冲买入的尝试了。 分别是: 这一组看多策略成本非常低,对冲后看涨期权价格只有0.5。 sell put 24 $KWEB 20270115 24.0 PUT$ ,成交量5万手 buy call 33 $KWEB 20260918 33.0 CALL$ ,成交量5万手 以及 sell put 28$KWEB 20260417 28.0 PUT$ ,buy put 27$KWEB 20260417 27.0 PUT$ buy call 32$KWEB 20260417 32.0 CALL$ ,sell call 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href=\"https://laohu8.com/OPT/MU%2020260313%20340.0%20PUT\">$MU 20260313 340.0 PUT$</a> ,delta0.112,开仓1.9万手 sell put大单: <a href=\"https://laohu8.com/OPT/AMD%2020260313%20170.0%20PUT\">$AMD 20260313 170.0 PUT$</a> ,delta -0.065,开仓5.7万手 方向未知: <a href=\"https://laohu8.com/OPT/TSM%2020260313%20327.5%20PUT\">$TSM 20260313 327.5 PUT$</a> ,delta -0.166,开仓2万手 总结来看,机构做空delta绝对值选择0.1以上,sell put选绝对值0.1以下的,跟之前sell put选delta绝对值只要0.25以下相比,市场太熊了。 buy call <a href=\"https://laohu8.com/OPT/INTC%2020260417%2050.0%20CALL\">$IN</a>","plainDigest":"依旧维持周初判断,spy还要继续回调,下周回调风险依旧很高。 buy put大单: NVDA本周到期170put平仓,roll仓 $NVDA 20260313 167.5 PUT$ ,delta 0.14,开仓12.6万手 $SMH 20260313 362.5 PUT$ ,delta -0.124,开仓5.2万手 $MU 20260313 340.0 PUT$ ,delta0.112,开仓1.9万手 sell put大单: $AMD 20260313 170.0 PUT$ ,delta -0.065,开仓5.7万手 方向未知: $TSM 20260313 327.5 PUT$ ,delta -0.166,开仓2万手 总结来看,机构做空delta绝对值选择0.1以上,sell put选绝对值0.1以下的,跟之前sell put选delta绝对值只要0.25以下相比,市场太熊了。 buy call 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伊以战争导致霍尔木兹海峡不稳定,这个战略要地影响全球能源20%的输出,如果短期解决不了,油价可能会升至100-120美元。 所以目前市场主要担心的是短期通胀的失控,对全球经济和股市都是利空。 一句话概括,就是不知道战争要持续多久,如果短期很快结束,那么市场的调整就不会太久;如果短期结束不了,那么美股就会出现更好的买入机会。。 我昨晚清了大部分金银铜仓位,一方面这些仓位期权占比太大,最近的市场不稳定,对这些高β品种很不友好,震得我也吃不消;二是对策比预测更重要,如果战争短期结束不了,那么到时出现买入机会也有仓位应对。 2、 当然,预测也很重要,上篇文分析了战争后黄金的短期走势,大概率都是下跌的,但这个短期是多久,具体跌多少呢? 昨天好丽友带把萌给了我她详细的回测数据,大家看下图。 图片 图片 结论很明显,大概战争后的第25个工作日,才是黄金最佳的买入点。 战争3月初开始,接下来的30天里,交易策略上还是以稳为主! 3、 战争并没有改变ai科技的底层逻辑。 这次调整,我坚定的认为是机会而不是风险,重点还是科技人工智能,尤其是围绕存储、算力、电力等做重点。 贵金属今年预期要降低,像去年那种直线斜率的上升疯狂模式是不正常的,年涨幅在10%-15%才相对合理些。 不过这个涨幅从1月至今已经达到了。。即便长期依然看好贵金属走势,但短期看,我认为只适合低吸,不再适合追高了。。 4、 再聊下今天的几只新股。 图片 我只","plainDigest":"1、 上篇文分析了战争后黄金短期大概率是下跌走势后,我又在群里建议大家短期先回避贵金属。 接着晚上就把做反弹的agq清了,然后昨晚又把美股几乎全部的金银铜仓位都止盈了。 还买了点qqq和spy的近月put来给这次战争做个保险策略,虽然买的有点晚,加起来占比连2%不到,其实也保护不了多少主仓位,主要是防止短期的一个极端情况。。 目前走势看,前天只是个超跌反弹,昨晚跌回了原形。 伊以战争导致霍尔木兹海峡不稳定,这个战略要地影响全球能源20%的输出,如果短期解决不了,油价可能会升至100-120美元。 所以目前市场主要担心的是短期通胀的失控,对全球经济和股市都是利空。 一句话概括,就是不知道战争要持续多久,如果短期很快结束,那么市场的调整就不会太久;如果短期结束不了,那么美股就会出现更好的买入机会。。 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