三月股票期權倉(23rd updates)
種蕉得蕉,有信心就中招了。
700: 第一大股東十七年黎首次減持,加上貿易戰芬圍令投標價要less 7.8% 到$405,令到有兩注入價了。還好今日全日守於招標價上,還有週旋餘地。今日唯一操作係買個下月DITM long 搏反彈,加個即月sc 收多少幫補下。
388: CDR 個影響令港交弱左成兩星期,番到一月分手個價位,接一注係樂意的、第二注可能要止損了,其他看著辦。
今日另一個操作係入錢比輝記同IB(尤其輝記draw 左啲錢抽毛記,按金變負數了)希望今日市場over react 左貿易戰影響,頂多兩日無事收工。
三月開倉:(23rd updates)
700: 2nd Mar short put @380.0 收0.40%
; 13th Mar short put @420.0 收0.36%
; 16th Mar short put @430.0 收0.31%
; 23rd Apr long call @350.0 付5.84%
; 23rd Mar short call @430.0 收0.43%
2822: 2nd Mar short put @14.5 收0.37%
; 12th Mar short put @15.5 收0.37%
2318: 5th Mar short put @72.50 收0.52%
; 7th Mar short put @75.0 收0.53%
; 15th Mar short put @80.0 收0.29%
388: 5th Mar short put @255.0 收0.38%
; 14th Mar short put @270.0 收0.27% (20th Mar 平付0.67%)
; 20th Mar short put @265.0 收0.31%
6030: 9th Mar short call @20.0 收0.24%
1398: 20th Mar short put@6.50 收0.33%
700: 第一大股東十七年黎首次減持,加上貿易戰芬圍令投標價要less 7.8% 到$405,令到有兩注入價了。還好今日全日守於招標價上,還有週旋餘地。今日唯一操作係買個下月DITM long 搏反彈,加個即月sc 收多少幫補下。
388: CDR 個影響令港交弱左成兩星期,番到一月分手個價位,接一注係樂意的、第二注可能要止損了,其他看著辦。
今日另一個操作係入錢比輝記同IB(尤其輝記draw 左啲錢抽毛記,按金變負數了)希望今日市場over react 左貿易戰影響,頂多兩日無事收工。
三月開倉:(23rd updates)
700: 2nd Mar short put @380.0 收0.40%
; 13th Mar short put @420.0 收0.36%
; 16th Mar short put @430.0 收0.31%
; 23rd Apr long call @350.0 付5.84%
; 23rd Mar short call @430.0 收0.43%
2822: 2nd Mar short put @14.5 收0.37%
; 12th Mar short put @15.5 收0.37%
2318: 5th Mar short put @72.50 收0.52%
; 7th Mar short put @75.0 收0.53%
; 15th Mar short put @80.0 收0.29%
388: 5th Mar short put @255.0 收0.38%
; 14th Mar short put @270.0 收0.27% (20th Mar 平付0.67%)
; 20th Mar short put @265.0 收0.31%
6030: 9th Mar short call @20.0 收0.24%
1398: 20th Mar short put
我本身無700, 今日都LC440 3月一張, 當賭大細, 中就食餐飯.
回覆刪除貿易戰係唔會影響大陸仔課金打賞等活動.
今次700 被double hit,本熊視$400左右係入貨良機,必要時止損其他重注一隻算了
回覆刪除