想請問這樣子的部位,你們會怎處理 - 期貨
By Oscar
at 2009-08-09T22:26
at 2009-08-09T22:26
Table of Contents
目前佈了2筆 SP6000 2口 45點左右 目前已經飆到67點了 目前看到短線趨勢似乎偏空了
(陸港股也在修正),因此目前有4種想法
1.明天如果有開高,或是開低走高,就平倉
2.SP部位不理會,如果當日走勢仍往下的話,利用小台或價平的部位作當沖,補償下跌損
失。
3.明日走勢仍往下走,買一口 PUT6300(目前116) 把部位 視為空頭價差。
4.把6500視為短線支撐,如果跌破,平掉1口,但那時,權利金可能已經100~130了吧。
(當然也要視何時跌到6500,數日內,應該至少飆到150以上吧)
目前傾向第三種作法,如果指數往下,BP 6300 這部位可以稍為保護住,如果指數反彈站
上五日均線之上似乎穩住後,就平掉BP這個部位。 再等待到期日的到來
想請問版上的人,如果是你們,會怎麼處理呢!
去年5月時摸底,賣PUT,1口,被軋了2萬元,現在一直也不敢拗單。
--
(陸港股也在修正),因此目前有4種想法
1.明天如果有開高,或是開低走高,就平倉
2.SP部位不理會,如果當日走勢仍往下的話,利用小台或價平的部位作當沖,補償下跌損
失。
3.明日走勢仍往下走,買一口 PUT6300(目前116) 把部位 視為空頭價差。
4.把6500視為短線支撐,如果跌破,平掉1口,但那時,權利金可能已經100~130了吧。
(當然也要視何時跌到6500,數日內,應該至少飆到150以上吧)
目前傾向第三種作法,如果指數往下,BP 6300 這部位可以稍為保護住,如果指數反彈站
上五日均線之上似乎穩住後,就平掉BP這個部位。 再等待到期日的到來
想請問版上的人,如果是你們,會怎麼處理呢!
去年5月時摸底,賣PUT,1口,被軋了2萬元,現在一直也不敢拗單。
--
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期貨
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