· 业绩复盘

博主分享核心持仓与主动交易策略,反思若全仓操作收益或超6000%。

涉及标的:

中文翻译

除非隐含波动率(IV)低于33%,否则我不做期权交易,比如 $GOOGL 或 $TSM,每笔都获利 $100K+。 通常我会持有一批高确信度的核心股票,如 $HOOD、$RKLB、$IBIT、$NBIS,并持有固定时间。 还有一篮子随机标的,如 $GRAB、$AMZN 等。 然后我会预留大量资金用于主动交易,这些我通常在 X 上发布。 有太多暴涨机会值得思考,比如减半前的 MSTR、Hood、SMCI、HIMS 等。我几乎抓住了每一次突破,但出于风险管理,只投入了组合中较小比例的资金。 如果每次我都全仓押注,哈哈,我的收益可能已经涨了 6000%+。

英文原文

I don't do options unless it's <33% IV things, such as $GOOGL or $TSM, both $100K+ profit each on. Usually I hold a core portfolio of high conviction stocks like $HOOD, $RKLB, $IBIT, $NBIS for a set amount of time. A basket of random stuff like $GRAB, $AMZN, etc. Then I set aside a good amount for active trading, which I usually post on X. Just too many run-ups to think about, like MSTR pre-halving, Hood, SMCI, HIMS, etc. I kind of caught every breakout but only put a smaller percentage of my portfolio into that for risk management. I'd probably be up 6000%+ if I full ported every time lol.

在 X 上查看原推 ↗