期貨用OP避險的原理 - 期貨

By Cara
at 2009-04-19T16:40
at 2009-04-19T16:40
Table of Contents
例如我現在看空,用OP避險
那就空一口小台(5777點 21500NT)、買進6200c(106點 5300NT)
如果到結算日
大盤漲超過6400點,那我的虧損最大只有 623點+106點
如果是在6200到5671之間,我的虧損是 (當時點數-5777點) + 106點
如果是在5671點以下,我的獲利就是 (5777-當時點數) - 106點
請問是這樣計算沒錯吧?
那這樣來說.....
避險的成本蠻高的,要100多點耶....
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那就空一口小台(5777點 21500NT)、買進6200c(106點 5300NT)
如果到結算日
大盤漲超過6400點,那我的虧損最大只有 623點+106點
如果是在6200到5671之間,我的虧損是 (當時點數-5777點) + 106點
如果是在5671點以下,我的獲利就是 (5777-當時點數) - 106點
請問是這樣計算沒錯吧?
那這樣來說.....
避險的成本蠻高的,要100多點耶....
--
あ な た の 怨 み 、 晴 ら し ま す 。
|
送信 ▏
 ̄ ̄ ̄
--
Tags:
期貨
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