宅宅每日留倉與檢討 - 期貨
By Catherine
at 2008-12-26T11:34
at 2008-12-26T11:34
Table of Contents
遠期超價外勒士賣單 S5600C
S3600P
多頭價差一組 S4500P
B4400P
空單 S4800C x2
目前倉位最大獲利125 介於4500~4800結算
獲利75 介於3600~4449結算
風險無限 3600以下 4800以上
所以若盤整小跌最為安心 小漲可增加獲利
若未來走勢不符合預期 (即大漲大跌)
大漲時考慮增加多頭部位 或 平倉S4800C
大跌時考慮解開多頭價差將S4500P平倉
目前小小看法和預想
大家多多指教
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Tags:
期貨
All Comments
By Poppy
at 2008-12-28T17:53
at 2008-12-28T17:53
By Emily
at 2008-12-30T21:08
at 2008-12-30T21:08
By Suhail Hany
at 2008-12-31T06:49
at 2008-12-31T06:49
By Edward Lewis
at 2009-01-01T16:11
at 2009-01-01T16:11
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