63p飆漲原因 - 期貨

By Elvira
at 2011-08-20T15:46
at 2011-08-20T15:46
Table of Contents
說說我的想法
[空]:
假設9月結算結在 6000 點好了
那賣6300p會賠180點 賣 5 口6300p會賠 900 點
所以賣put的同時也賣一口小台7200避險
這樣到6000點時小台空單可以賺1200點
相減之後是賺 300 點 (在殺破一定點位時,還可以再加賣小台)
[多]:
如果沒跌下去, 反而漲
小台空單虧損超過 100 點後平倉
依上次7148低點後就快速往上漲的情況來看
put會快速縮水, 第二天收盤時就只剩個位數了
那賣5口put賺的(大約500點)應該會比小台虧的多
所以就算跳空大漲250點, 整體應該還是賺
[平]:
平盤上下50點, 這是最賺的情況了
小台空單沒賠多少
但 put 會快速縮水
掌握平倉時機就可以賺最多
以上只是大約依據上次的經驗來想像討論
數值如果不太正確也不要太計較啦^^
※ 引述《eno4022 (鋼手指分身)》之銘言:
: 我不太懂為何現在SP穩賺耶
: 你真的確定6300不會破?
: 當初8月5日大盤從8300殺到7800,一口氣殺了500點
: 如果8月5日你以為殺夠了,盤末馬上SP放著
: 結果會怎麼樣?那波最後連殺三天,殺到7148才反彈
: 同理,你又怎麼知道昨天7600殺到7300,盤末作S63P放著絕對沒問題?
: 7000點這關卡真那麼穩?不會像8000點那時候那麼脆弱,一戳就破?
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期貨
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