方法论

研究框架、选股思路、思维方式 · 共 668 条 · 滚到底自动加载更多

  1. 方法论

    博主分享其金融背景及过目不忘的记忆力如何辅助交易。

    @taleino93 自学成才,拥有金融背景。 我拥有过目不忘的记忆力,能脱口而出期权流向(Option Flow)/财报/市值/宏观事件,并即时将信息拼凑整合。 这很不寻常,但对日内交易/波段交易很有帮助。

    英文原文

    @taleino93 Self-taught and background in finance. I also have photographic memory where I can remember option flow/earning report/market cap/macro event off the top of my head and piece things together on the fly. It’s unusual but helpful for day trading/swing trading.

  2. 方法论

    展示日内交易思考过程,强调基本面而非恐慌。

    通常我不会发这么多推文,但只是想向大家展示我日内交易时的思考过程。你需要从基本面角度思考,不要像散户那样恐慌。

    英文原文

    Normally I don’t post this much but just want to show you the thought process when I day trade. You need to think in terms of fundamentals and not panic like retail.

  3. 方法论 $GOOGL$UNH

    建议在低隐含波动率股票上买入看涨期权。

    @triforcerytp 持有最好的标的。我主要推荐在隐含波动率(IV)极低(10-35%)的股票(如 $GOOGL 或 $UNH)上买入看涨期权(calls)。

    英文原文

    @triforcerytp Shares in the best. I mainly recommend calls for super low IV stocks (10-35%) like $GOOGL or $UNH

  4. 建议9月降低风险偏好,转向盈利股或超跌股,规避高贝塔股。

    一个小建议:9月前后降低风险偏好。像$UNH、$NVO、$GOOGL、$UPWK、$KSPI...这样的盈利股,或者年内下跌的$MRVL、$SG、$SNAP...可能会表现不错。如果你满仓高贝塔(high beta)股如$PLTR、$DUOL、$HOOD、$COIN、$CRCL、$NVDA、$MSTR、$TSLA...祝你好运。

    英文原文

    Just a tip: Lower risk appetite around September. Profitable stocks like $UNH, $NVO, $GOOGL, $UPWK, $KSPI... or stocks down YTD - $MRVL, $SG, $SNAP might do well. If you're full port calls on high beta like $PLTR, $DUOL, $HOOD, $COIN, $CRCL, $NVDA, $MSTR, $TSLA... Good luck.

  5. 方法论 $ALAB$DNUT$OPEN

    区分波段、投资与逼空策略,强调逼空后需及时止盈。

    @EliCoen1 我针对波段交易(swing trading)制定了退出策略。对于投资,我只是像持有 $ALAB 那样长期持有。 对于像 $DNUT 这样的逼空(short squeezes)行情,取决于每日情况。 如果发生逼空,务必卖出。$OPEN 发生了逼空但人们没有卖出,这就是为什么有人可能“亏损40%”。

    英文原文

    @EliCoen1 I have exit strategies planned for swing trading. For investing I just hold for years like $ALAB. For short squeezes like $DNUT, it depends day-by-day. If something squeezes, make sure to sell. $OPEN squeezed but people didn't sell, which is why one might have "lost 40%"

  6. 方法论

    逼空行情无目标价,量价异动即卖出信号。

    @EliCoen1 在涉及逼空(short squeezes)时,没有目标价(price target)。如果出现突然的成交量(volume)增加和价格飙升,你就会知道何时卖出。

    英文原文

    @EliCoen1 There's no price target when it comes to short squeezes. You will know when to sell if there's a sudden volume increase and spike in price

  7. 方法论 $GME$SG

    分享波段交易中摊低成本的具体价位策略及杠杆使用原则。

    我通常在波段交易中进行摊低成本操作。以下是一些我关注的示例价位(除非标的极度超卖,否则我不使用杠杆) $GME(低于$20 - 买入看涨期权),$21-$22 买入,$23 累积建仓 $SG($13 高位)买入,(约 $12.8)强烈买入,低于 $11 买入看涨期权。

    英文原文

    I typically cost average down for swing trading. Some levels I look out for as examples (i don't leverage unless something is extremely oversold) $GME (sub $20 - buy calls), $21-$22 buy, $23 accumulate $SG (High $13) buy, (~ $12.8) very strong buy, sub $11 calls.

  8. 方法论

    建议短期交易选10月期权以捕捉上涨并规避时间价值衰减。

    @Dylanwith86 如果你打算做短期交易,我个人会选择10月到期的期权,这样你有时间享受7/8月的上涨行情,然后在9月前卖出,避免遭受过多的Theta(时间价值)衰减。考虑到各种因素,45%的隐含波动率(IV)真的非常低。 但极短期期权确实有很大的潜力。

    英文原文

    @Dylanwith86 If you're going shorter term I'd personally pick October strikes so you have time for the July/August runup, then sell before September + not get too theta decayed. 45% IV is really really low all things considered. But very short term options have a lot of potential.