結算該如何收尾?? - 期貨
By Rachel
at 2011-10-19T21:14
at 2011-10-19T21:14
Table of Contents
各位高手高手高高手大家好
小弟只是奈米戶 (賣方)
定了個目標想要賣出四百點
但是還差了大約快一百點
到了結算前幾天 看到盤整在上面有點無力 就賣了兩口75C 還有勒式雙賣
星期一現貨紅K 漲了一百多點 又考慮到美股都過了季線了
就回補了一口 75C (剩兩口) 然後賣兩口73P
想說再往上走 至少不會被嘎太大 殺下來再賣點73P 或是轉賣72P
結果晚上看美股跌了兩趴 星期二又跳低開 我就停損一口73P
空了一口小台(7343 位置很差) 要是殺下去 只要沒破72我也不會受傷
要是在 7300 ~ 7343結算 我還會多賺一點 又少了崩崩被嘎兩口73P的風險
所以我就把小台留倉啦
結果美股又強彈回來 @@" 早盤我就把小台補掉了 (小賠)
接近午盤殺下去 我又把73P補掉了
被星期一現貨紅K洗掉一口75C 多賣兩口73P
星期二又被嚇到 自以為空一口小台@@"
今天早盤又把小台賠錢出掉...
最後白忙一場 75C 73P 都沒事 ~"~
還因為這樣賠了一點點 沒達成目標
要是都放著不理他 就可以達成我設定的目標了 囧
雖然這個月績效還算不錯 但是總覺得不太爽
又怕被嘎 又想達成目標
盤整那幾天波動率一值降 只好越賣越近 搞到區間太小 自己嚇自己...
要是這種結算前幾天 彈來彈去 接近雙賣設定的區間
要怎麼收尾比較好呢???
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期貨
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