會長期扣血的ETF問題 - 股票

By George
at 2020-09-13T16:18
at 2020-09-13T16:18
Table of Contents
各位前輩們好,
最近看槓桿型ETF有些不懂的地方想請教~
先不管現在台灣指數位階
一般人會長期投資0050因為世界經濟會向上
那為什麼沒有人長期放空台灣50反1呢?
0050長期看是向上,
代表台灣50反1是向下
但放空台灣50反1,
還可以多賺他長期扣血的價差
這樣是不是會賺的比做多0050還多呢?
另外還有一個問題,
如果看空台灣指數,但自己還不會操作期貨
所以只有三種選擇
1.放空0050
2放空台灣50正2
3.做多台灣50反1
因為槓桿型和反向型etf都有長期扣血問題
所以最好只能玩波段
既然只能玩波段,就是要去賺短線價差
是不是代表,
放空台灣50正2
一定比做多台灣50反1來的好呢?
理由是如果加權指數一直盤整
做多台灣50反1會一直損血
但放空台灣50正2,他損血反而是讓我賺錢...
代表放空台灣50正2的話
加權指數盤整:我賺錢
加權指數下跌:我也賺
只有加權指數上升我會被嘎而已
這樣有哪裡怪怪的嗎?
--
最近看槓桿型ETF有些不懂的地方想請教~
先不管現在台灣指數位階
一般人會長期投資0050因為世界經濟會向上
那為什麼沒有人長期放空台灣50反1呢?
0050長期看是向上,
代表台灣50反1是向下
但放空台灣50反1,
還可以多賺他長期扣血的價差
這樣是不是會賺的比做多0050還多呢?
另外還有一個問題,
如果看空台灣指數,但自己還不會操作期貨
所以只有三種選擇
1.放空0050
2放空台灣50正2
3.做多台灣50反1
因為槓桿型和反向型etf都有長期扣血問題
所以最好只能玩波段
既然只能玩波段,就是要去賺短線價差
是不是代表,
放空台灣50正2
一定比做多台灣50反1來的好呢?
理由是如果加權指數一直盤整
做多台灣50反1會一直損血
但放空台灣50正2,他損血反而是讓我賺錢...
代表放空台灣50正2的話
加權指數盤整:我賺錢
加權指數下跌:我也賺
只有加權指數上升我會被嘎而已
這樣有哪裡怪怪的嗎?
--
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