每日操作20111108 - 期貨

By Michael
at 2011-11-08T14:14
at 2011-11-08T14:14
Table of Contents
投資有風險,以下為個人操作,盈虧請自負,不當騷擾者必依法行事"
一. 期貨部分
美股上演著第四節秀盤中大跌百點,尾盤強拉,歐股則繼續持續整理
義大利小豬開始表演,債券利率不斷升高,多數人開始關注
然而我想消息面總是會影響股市短期漲跌,長期來看以石油價格不停升高
代表著資金行情還在,美股也還在高檔整理中,目前台股大盤也是持續整理
秉持著上有壓.下有撐,有獲利走一趟我想目前是不錯的
以OP觀點來看目前CALL最大未平倉量從80C下移到78C,PUT上移到70P
說過11月開倉點在76附近,也就是說打混了半天還是在這邊整理
如果大盤真的是在做整理上攻的頭肩底的右肩,恩那麼還真的那麼一點像需要時間
日線走多,KD持續修正,沒破上升趨勢線跟突破7777高點都以區間操作為主
今日操作以靠近7700 CALL未平倉量的大關卡空和7600附近拉回測試均線支撐點作多
開盤CALL快速增加,拉到前幾天高點附近,試空
第一趟08:55 空7650,09:02 補7640 (大盤開小紅,金融發動先出一趟)
量能萎縮,上漲無量,試空
第二趟09:04 空7651,09:05 停損7679 (超級升龍拳,停損先出)
持續強勢,然正價差大,五分K,KD鈍化,MACD往上,有期貨帶現貨現象,轉多
第三趟09:08 多7685,09:16 補7690
第三趟出場主因 1. 現貨持續往下,完全不鳥期貨,且正價差變大為30點
2. 大升龍拳後,量能沒出反而反向減少
3. CALL成交量持續以非常驚人速度增加,依照反市場理由對多方不利
4. 短期看不太董盤勢,當沖出場點不好找,決定今天出場休息
今日當沖 10-28+5= -13點,盤中基於第三趟出場原因,找轉弱點跟好設停損點轉空方思維
盤中波段單 空一口 09:54 空7694,10:09補7670 獲利24點
KD沒過高背離加空一口 09:58 空7704,10:13補7624 獲利80點
靠近7600接短多單一口 10:15 多7605,10:34補7625 獲利20點
波段單共獲利24+80+20=124點
尾盤12:41 買進7610多單一口+B75P X4 at 63 留倉
13:40 買進7580多單一口+B75P X4 at 75 留倉
留倉理由為利空測試支撐,上升趨勢未破,拉回作多,停損點也好設
其實今天只有小跌,但很多人感覺像是大跌百點以上,
大慨是因為漲到7700時一片美好聲音,許多人空單終於忍不住停損了
多單也終於忍不住進場了,恩其實下單只要想好你停損點在那
何時訊號出該走就夠了,盤中我在下7694+7704空單時
也是有人說道等靠近7800再空阿,這邊會嘎死人,其實我沒有想說什麼
我只想到下面事情 1. 下單理由 (CALL壓力區等等)
2. 停損點可設帶量破前高7777
3. 最大虧損差不多兩口150點,以獲利部分來做停損點考量,風險控管無慮
想好之後就下單,多空對我來說沒有太重要,該虧就虧損而已
我想盡量做到"心不慌,穩穩下單,不要出現恐懼"
這就是屬於我自己的操作方法思維,所以我不太會去干預或者多加思索別人多空作法
因為只有自己帳戶才是最重要的~~
二. 選擇權
目前此部分本金為30萬,預計每個月做10~15組組合部位,觀看觀念是否正確
能否長期獲利,每個月都會有績效統計紀錄,每個月以3%-5%報酬為目標
2011 10月目前獲利+452點
2011 11月目前獲利+906點,累計獲利+1358點
10/20 S64P +B61P X5 at 17 續抱到天荒地老
10/24 S79C +B81C X5 at 21 續抱到天荒地老
10/27 S80C +B82C X5 at 18 續抱到天荒地老
10/31 B12月84C X10 at 27 續抱到天荒地老
B12月83C X10 at 35 續抱到天荒地老
11/8 B75P X8 均價69 (期貨多單避險)
三. 股票
空手
--
一. 期貨部分
美股上演著第四節秀盤中大跌百點,尾盤強拉,歐股則繼續持續整理
義大利小豬開始表演,債券利率不斷升高,多數人開始關注
然而我想消息面總是會影響股市短期漲跌,長期來看以石油價格不停升高
代表著資金行情還在,美股也還在高檔整理中,目前台股大盤也是持續整理
秉持著上有壓.下有撐,有獲利走一趟我想目前是不錯的
以OP觀點來看目前CALL最大未平倉量從80C下移到78C,PUT上移到70P
說過11月開倉點在76附近,也就是說打混了半天還是在這邊整理
如果大盤真的是在做整理上攻的頭肩底的右肩,恩那麼還真的那麼一點像需要時間
日線走多,KD持續修正,沒破上升趨勢線跟突破7777高點都以區間操作為主
今日操作以靠近7700 CALL未平倉量的大關卡空和7600附近拉回測試均線支撐點作多
開盤CALL快速增加,拉到前幾天高點附近,試空
第一趟08:55 空7650,09:02 補7640 (大盤開小紅,金融發動先出一趟)
量能萎縮,上漲無量,試空
第二趟09:04 空7651,09:05 停損7679 (超級升龍拳,停損先出)
持續強勢,然正價差大,五分K,KD鈍化,MACD往上,有期貨帶現貨現象,轉多
第三趟09:08 多7685,09:16 補7690
第三趟出場主因 1. 現貨持續往下,完全不鳥期貨,且正價差變大為30點
2. 大升龍拳後,量能沒出反而反向減少
3. CALL成交量持續以非常驚人速度增加,依照反市場理由對多方不利
4. 短期看不太董盤勢,當沖出場點不好找,決定今天出場休息
今日當沖 10-28+5= -13點,盤中基於第三趟出場原因,找轉弱點跟好設停損點轉空方思維
盤中波段單 空一口 09:54 空7694,10:09補7670 獲利24點
KD沒過高背離加空一口 09:58 空7704,10:13補7624 獲利80點
靠近7600接短多單一口 10:15 多7605,10:34補7625 獲利20點
波段單共獲利24+80+20=124點
尾盤12:41 買進7610多單一口+B75P X4 at 63 留倉
13:40 買進7580多單一口+B75P X4 at 75 留倉
留倉理由為利空測試支撐,上升趨勢未破,拉回作多,停損點也好設
其實今天只有小跌,但很多人感覺像是大跌百點以上,
大慨是因為漲到7700時一片美好聲音,許多人空單終於忍不住停損了
多單也終於忍不住進場了,恩其實下單只要想好你停損點在那
何時訊號出該走就夠了,盤中我在下7694+7704空單時
也是有人說道等靠近7800再空阿,這邊會嘎死人,其實我沒有想說什麼
我只想到下面事情 1. 下單理由 (CALL壓力區等等)
2. 停損點可設帶量破前高7777
3. 最大虧損差不多兩口150點,以獲利部分來做停損點考量,風險控管無慮
想好之後就下單,多空對我來說沒有太重要,該虧就虧損而已
我想盡量做到"心不慌,穩穩下單,不要出現恐懼"
這就是屬於我自己的操作方法思維,所以我不太會去干預或者多加思索別人多空作法
因為只有自己帳戶才是最重要的~~
二. 選擇權
目前此部分本金為30萬,預計每個月做10~15組組合部位,觀看觀念是否正確
能否長期獲利,每個月都會有績效統計紀錄,每個月以3%-5%報酬為目標
2011 10月目前獲利+452點
2011 11月目前獲利+906點,累計獲利+1358點
10/20 S64P +B61P X5 at 17 續抱到天荒地老
10/24 S79C +B81C X5 at 21 續抱到天荒地老
10/27 S80C +B82C X5 at 18 續抱到天荒地老
10/31 B12月84C X10 at 27 續抱到天荒地老
B12月83C X10 at 35 續抱到天荒地老
11/8 B75P X8 均價69 (期貨多單避險)
三. 股票
空手
--
Tags:
期貨
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