賣權空頭價差的應用? - 期貨

By Megan
at 2008-10-16T16:38
at 2008-10-16T16:38
Table of Contents
1. 問題類別:
選擇權的賣權空頭價差組合單
2. 問題描述:
今天組了兩組sell4800P buy5000P的組合單
想問如果明天繼續大跌3%好了,
這樣子的組合單是跟賣方一樣,最好放到結算才有全部獲利的嗎?
還是當盤勢走到某一個發展的時候,
可以平掉某一邊或加入新的策略?
當初會組他只是因為覺得會續跌,但是可能會又遇到多方反抗...囧
不想組賣方跨式,怕一跌跌個沒完,看到這種組合單風險固定就下單了@@
(就算組兩組也又比4600P便宜@@,一組下在78,一組下在103)
不過對於選擇權的策略實在很不熟Orz
假如真的跌但是我想提前解掉,就只有賺到他們之間漲跌不同調的價差囉@_@?
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期貨
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