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美国原油ETF(USO)
107.00
+1.14
+1.08%
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期权小班长
·
03-11 23:45
多空都在观望市场
$英伟达(NVDA)$
周二看跌开仓数据明显消解了本周暴跌情绪,不过机构继续对冲下周暴跌概率,开仓了4万手170put
$NVDA 20260320 170.0 PUT$
,方向买入。 观察市场对原油新闻的反应,感觉接下来会按照我昨天写的预测来进行,3月20日三巫日交割前维持震荡。所以预计本周和下周英伟达在180~190区间震荡。
$美国原油ETF(USO)$
原油etf美元开仓大单,看跌期权开仓以远期为主,行权价主要分为两档:100和90。说明目前局势处于僵持阶段,近两周油价下跌概率低。
$特斯拉(TSLA)$
久违的中期看涨大单出现了:买入510call
$TSLA 20260515 510.0 CALL$
,开仓1.59万手,成交额约700多万美元。 sell put可以做起来了
$TSLA 20260313 390.0 PUT$
。
$标普500ETF(SPY)$
虽然我猜川普有意向要保三巫日平稳交割,不过难保3月20日前不会出什么幺蛾子。所有看见机构布局下周的
多空都在观望市场
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交易员Owen
·
03-11 12:02
一不小心,期货收益又翻倍了。。。
$美国原油ETF(USO)$
$WTI原油主连 2604(CLmain)$
$小原油主连 2604(QMmain)$
$WTI原油2604(CL2604)$
$两倍做多彭博天然气ETF-ProShares(BOIL)$
$天然气2604(NG2604)$
$天然气主连 2604(NGmain)$
$黄金主连 2604(GCmain)$
$白银主连 2605(SImain)$
一不小心,期货收益又翻倍了。。。 $美国原油ETF(USO)$ $WTI原油主连 2604(CLmain)$ $小原油主连 2604(QMmain)$ $...
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ruan_7128:
叫一声:牛哥! [开心] [强]
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做时间朋友
·
03-11 01:52
$美国原油ETF(USO)$
美国能源部长赖特删除了一篇关于海军护送油轮通过霍尔木兹海峡的帖子。
$美国原油ETF(USO)$ 美国能源部长赖特删除了一篇关于海军护送油轮通过霍尔木兹海峡的帖子。
精彩
做时间朋友:
伊朗伊斯兰革命卫队发言人:美国舰队及其盟军的任何行动都将在我们的导弹和无人机射程内被阻止。战争期间,没有一艘美国舰船敢靠近阿曼海、波斯湾和霍尔木兹海峡。
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期权小班长
·
03-11 00:59
一个猜想:一切矛盾放到三巫日后引爆
$英伟达(NVDA)$
我有点怀疑川普会走跟去年一模一样的剧本,即3月份拖着,然后4月初市场突然恶化,再反弹。 周一4月2日到期160put
$NVDA 20260402 160.0 PUT$
开仓了6.2万手,相应的本周到期165,167.5put纷纷平仓。虽然从新的看跌开仓来看,市场并没有放弃本周做空,但已经远不如上周五统一了。 有一个防暴跌的持股领口策略引起我的注意:sell call180
$NVDA 20260717 180.0 CALL$
,buy put x 2倍 130put
$NVDA 20260717 130.0 PUT$
。 7月到期180call的权利金是20,交易者认为7月英伟达很难突破200,然后180卖出的权利金还可以覆盖看跌期权成本。 然后我们假设剧本跟去年一致,市场陷入僵持阶段,那么下周3月月权到期,股价就会完美卡在180~190之间。 考虑到川普特别喜欢炒股,我觉得他的交易团队可能会给他建议避免在三巫日前激化矛盾。
$标普500ETF(SPY)$
如果按照三巫日的思路,那近期标普会反弹到690也不是不可能。当然战争的事不像关税拿嘴说说就行,伊以能否乖乖配合川普表演是一个未知风险,所以有大量
一个猜想:一切矛盾放到三巫日后引爆
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法庭辣椒:
有人开了超大put
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期权小班长
·
03-09 22:50
本周会跌到哪儿
$标普500ETF(SPY)$
spy下跌路径非常清晰,目前稳步向200日均线655迈进。 大单开仓本周到期看跌价差buy 655
$SPY 20260313 655.0 PUT$
,sell 635
$SPY 20260313 635.0 PUT$
; 以及4月到期看跌价差buy 657
$SPY 20260402 657.0 PUT$
,sell 590
$SPY 20260402 590.0 PUT$
。 所以没到200日均线千万别手痒抄底。 至于会不会有200日均线以下的价格,这个很难说,毕竟现在的局势很难靠川普的嘴控制了。
$美国原油ETF(USO)$
油价和股价大概都会在3月20日前决一胜负。期权多头周五平仓了4月到期的看涨价差120-135,将到期日提前roll到3月20日,buy120
$USO 20260320 120.0 CALL$
,sell 135 <
本周会跌到哪儿
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Char.J:
班长可以讲讲特斯拉吗
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话题虎
·
03-11 15:15
从未如此关注霍尔木兹海峡!现在更相信:HALO 还是TACO?
特朗普说战争差不多要结束了,那可以相信TACO交易了吗?[疑问] 一方面,甲骨文,市场叙事逻辑转向了AI+云基础设施,云业务增长44%,远期指引上调,AI demand至少还能持续两三年,计划融资450亿美元扩建算力。
$甲骨文(ORCL)$
夜盘+11%。 同时,WTI过去两个交易日,从最高120已经快速回落到80附近,布油下跌至88左右,近期剧烈波动所引发的恐慌情绪有所改善。 但另一方面,据《华尔街日报》报道,G7考虑释放有史以来最大规模的石油储备后,可能会成为油价再次出现重大波动的触发点。分歧越大,波动就会越大,随机性也会随之增加,历史上释放战略石油储备(SPR)对油价的影响并不一致,eg. 2022年俄乌冲突初期,IEA成员国两次释放原油储备,但油价短期一度上涨约20%。 就连官方消息都有乌龙,现在真的能TACO吗?(美国能源部长Chris Wright发布“护航行动”帖子后,随即几分钟内删掉,并澄清没有这类行动。) 如果真像摩根大通大宗商品研究主管Natasha Kaneva所言,局势明朗之前,油价高波动或将成为常态,分析的理由是:短期政策可以安抚市场情绪,但真正决定油价的仍是供应安全——尤其是霍尔木兹海峡是否能够保持正常通航),那么或许HALO交易是更好的选择。(参考:
华尔街集体转向“HALO Trade”!分析师们的选股,大家看好吗?
) 各位小虎们, 大家觉得,标普500指数周三回高开or低开呢? 你是站“TACO交易”or “HALO交易”? 评论区分享你的观点或操作,一起赢取1000虎币奖励!
从未如此关注霍尔木兹海峡!现在更相信:HALO 还是TACO?
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一路走来cd:
伊朗🇮🇷会不会像哈马斯一样,逐渐毁灭和消失呢?不会对美国有多少市值性影响,但是对于世界大格局的改变肯定会有。kaco需要继续观察。 目前ai的确定性一直在,在halo里优中选优
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衍生品圈内淘金人
·
03-09 12:09
期货直播间文字实录:美伊战争有三种落幕场景,金油已经触及拐点位置。。。
课程主题:中东大战进入暴风眼中的假宁静?美股指和黄金原油大行情正在酝酿中。。。
课程重要观点热力图: 任课嘉宾: 代课老师:程俊 专业交易员,曾任华尔街见闻黄金头条总经理、华尔街见闻内容总监等职位,拥有超过10年保证金经验,目前为多家交易所做特约策略讲师。 本次会议围绕伊朗局势发展路径、对金融市场的影响以及各类资产走势展开分析,并给出投资建议,内容如下: 伊朗局势发展路径分析 局势扩大化可能性低 不符合多方利益:说话人1指出,局势扩大化指战争激烈程度或地区冲突范围扩大,更多国家受牵连。但这不符合多数国家利益,除俄罗斯可能是最终受益者外,中东国家、美国和以色列都将面临难以解决的风险和极端问题,还会影响美国中期选举,所以概率较低。 极端情况特征:从美伊方面看,派地面部队进行肉搏或巷战;从伊朗方面看,彻底疯狂打击能让以色列或美国暴怒的设施,如核设备或核设施,可能导致所谓的“S3赛季开启”,但这种极端情况可能性极小。 战事快速了结概率低 缺乏话事人:按照逻辑,美国打击行动使伊朗难以出现能站出来谈判的话事人,目前无法以美国希望的“赢”的形式结束战事。 伊朗持久战策略:伊朗目标明确,要打持久战,虽不会像初期大量发射导弹,但会时不时用无人机等进行攻击,因此彻底终结战争可能性较低。 维持弱化战时状态可能性大 双方宣称胜利:最有可能的情况是双方都宣称自己赢了,伊朗一段时间后宣布打退侵略者,美国称完成斩首目标并打击了伊朗导弹库存,维持相对弱化的战时状态。 市场接受度高:这种状态对金融市场影响相对有限,若局势扩大
期货直播间文字实录:美伊战争有三种落幕场景,金油已经触及拐点位置。。。
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黑桃小丑:
你说原油80到顶也是离谱,没啥水平的贵物罢了
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主神级交易员鄧文
·
03-09 12:26
$美国原油ETF(USO)$
美国最大的原油ETF、资产规模怎么这么小?
$美国原油ETF(USO)$ 美国最大的原油ETF、资产规模怎么这么小?
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衍生品圈内淘金人
·
03-10 17:37
美伊战争进入第11天美股仍然有下行压力?原油是如何影响到股市的
美伊战争进入了第11天,市场在近期经历了大幅的震荡,WTI原油期货价格从之前很多人认为的平仓点位80美元短线暴涨到近120美元,之后短短一天之后又开始了大幅的回落,再度回落到83附近,美股股指也在战争升级后短线大幅下跌,之后又出现了全面的反弹,可能很多人目前都在考虑的是,目前我们应该如何布置我们的投资头寸?市场都有哪些机会值得我们继续关注的? 要搞清楚目前市场都有哪些值得把握的机会,首先要搞懂目前市场波动的宏观逻辑到底是什么? 我们看一下我们要跟大家梳理的宏观逻辑链图: 从上图的结论上我们可以看到,目前美股市场似乎仍然有着下行压力,那么目前市场运行的详细逻辑是什么?我们的交易机会又在哪里呢?我们一起来梳理一下上图的详细逻辑链条: 目前这一次市场震荡的源头,看似来自中东战火,实则已经深入到全球资产定价的核心。眼下全球金融市场所承受的,已不只是一次普通的地缘冲击,而更像是一场围绕能源、通胀、利率与风险偏好的全面压力测试。军事层面的进展,也许能制造短期“胜利”的表象,但经济层面的连锁反应却在向更深处蔓延,甚至可能正在把全球市场推向一个新的周期拐点。 从最直接的市场信号看,油价的剧烈波动已经说明问题。中东冲突持续发酵后,油价在亚洲时段一度大涨30%,虽然后续因为G7财长与国际能源署讨论释放紧急石油储备,涨幅被压回一半,但冲击并未真正消失。以WTI原油为例,2月27日中东冲突爆发前油价还在67.30美元/桶,如今最高点已来到102美元/桶,新一轮石油危机的苗头已经开始浮现。 如果说价格上涨只是表象,那么期货曲线的形态变化则揭示了更深层的结构问题。原油市场已经出现“超级现货溢价”,也就是现货价格远高于半年甚至一年后的期货价格。这意味着市场交易的重点,已经从对未来价格的金融博弈,转向对当下实物供应的激烈争抢。 这一个判断并非空穴来风:就在上周伊拉克因储油罐趋于
美伊战争进入第11天美股仍然有下行压力?原油是如何影响到股市的
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JudyFrederick:
原油回调就低吸,止损设好别贪!
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一追再追
·
03-10 17:00
USO天量成交背后的投机狂潮与隐忧 美国原油ETF(USO)单日成交额暴增839%,创下超过76亿美元的历史纪录,这不仅是市场情绪的体温计,更是一面折射出当前原油市场投机狂潮与潜在风险的镜子。巨量资金在短短一天内涌入USO,清晰地表明了大量交易者(包括专业机构和高风险偏好的散户)正试图利用油价的极端波动进行短线博弈,将USO视为对油价最敏感的“交易工具”而非长期投资标的。 这种行为的逻辑在于追逐“事件驱动”下的高弹性。当特朗普的言论导致油价直线跳水时,做多者恐慌离场,而敢于“抄底”或博弈反弹的资金则大举进场,共同造就了历史天量。然而,这种交易策略蕴含着巨大风险。首先,USO通过滚动持有近月原油期货合约来跟踪油价,长期持有会面临因期货合约升贴水结构导致的“换月损耗”,其表现可能长期偏离油价本身。其次,在由消息主导的市况中,价格的转折往往猝不及防,普通投资者极易陷入“追涨杀跌”的陷阱。今日因“和平”消息暴涨的USO,明日就可能因战事升级的新闻而暴跌。天量成交是市场流动性和关注度的体现,但也往往是情绪达到极致的信号。对于大多数投资者而言,在如此高波动的环境中,通过行业ETF或油气公司股票进行长期配置,或许是比直接博弈期货ETF更稳健的选择。
USO天量成交背后的投机狂潮与隐忧 美国原油ETF(USO)单日成交额暴增839%,创下超过76亿美元的历史纪录,这不仅是市场情绪的体温计,更是一面折射出...
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公司概况
公司名称
美国原油ETF
所属市场
ARCA
成立日期
- -
员工人数
- -
办公地址
- -
公司网址
http://www.unitedstatescommodityfunds.com/fund-details.php?fund=uso
邮政编码
- -
联系电话
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联系传真
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公司概况
该ETF追踪标的主要为美国西德州中质原油(WTI)原油期货合约,以及部分短期美债,低硫轻质原油等。波动幅度与WTI原油的期货合约价格大约一致。 风险提示:标的成分和权重,有可能随着时间的迁移而发生变化。
02-27
年度报告
Form 10-K - Annual report [Section 13 and 15(d), not S-K Item 405]
Form 10-K - Annual report [Section 13 and 15(d), not S-K Item 405]
02-27
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
01-29
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2025-12-29
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2025-12-01
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2025-11-07
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
2025-10-28
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2025-09-29
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2025-08-28
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2025-08-08
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
2025-07-29
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2025-06-27
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2025-05-28
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2025-05-19
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2025-05-09
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
分时
5日
日
周
月
数据加载中...
最高
108.36
今开
105.01
量比
1.04
最低
101.00
昨收
105.86
换手率
287.05%
热议股票
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还是TACO?","digest":"特朗普说战争差不多要结束了,那可以相信TACO交易了吗?[疑问] 一方面,甲骨文,市场叙事逻辑转向了AI+云基础设施,云业务增长44%,远期指引上调,AI demand至少还能持续两三年,计划融资450亿美元扩建算力。 <a href=\"https://laohu8.com/S/ORCL\">$甲骨文(ORCL)$</a> 夜盘+11%。 同时,WTI过去两个交易日,从最高120已经快速回落到80附近,布油下跌至88左右,近期剧烈波动所引发的恐慌情绪有所改善。 但另一方面,据《华尔街日报》报道,G7考虑释放有史以来最大规模的石油储备后,可能会成为油价再次出现重大波动的触发点。分歧越大,波动就会越大,随机性也会随之增加,历史上释放战略石油储备(SPR)对油价的影响并不一致,eg. 2022年俄乌冲突初期,IEA成员国两次释放原油储备,但油价短期一度上涨约20%。 就连官方消息都有乌龙,现在真的能TACO吗?(美国能源部长Chris Wright发布“护航行动”帖子后,随即几分钟内删掉,并澄清没有这类行动。) 如果真像摩根大通大宗商品研究主管Natasha Kaneva所言,局势明朗之前,油价高波动或将成为常态,分析的理由是:短期政策可以安抚市场情绪,但真正决定油价的仍是供应安全——尤其是霍尔木兹海峡是否能够保持正常通航),那么或许HALO交易是更好的选择。(参考:<a href=\"https://laohu8.com/TW/https://laohu8.com/TW/536805416443936\" target=\"_blank\">华尔街集体转向“HALO Trade”!分析师们的选股,大家看好吗?</a>) 各位小虎们, 大家觉得,标普500指数周三回高开or低开呢? 你是站“TACO交易”or “HALO交易”? 评论区分享你的观点或操作,一起赢取1000虎币奖励!","plainDigest":"特朗普说战争差不多要结束了,那可以相信TACO交易了吗?[疑问] 一方面,甲骨文,市场叙事逻辑转向了AI+云基础设施,云业务增长44%,远期指引上调,AI demand至少还能持续两三年,计划融资450亿美元扩建算力。 $甲骨文(ORCL)$ 夜盘+11%。 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目前ai的确定性一直在,在halo里优中选优","plainContent":"伊朗🇮🇷会不会像哈马斯一样,逐渐毁灭和消失呢?不会对美国有多少市值性影响,但是对于世界大格局的改变肯定会有。kaco需要继续观察。 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