SNby u/smith_nico·1moAnalysis

Salida Óptima para Posiciones Largas de Opciones

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Aparte de alcanzar un objetivo de ganancias o un stop-loss, ¿qué otros criterios utilizas para salir de posiciones largas de opciones? A menudo considero salir si el gamma comienza a volverse negativo en un rally o si la depreciación por theta se acelera más allá de mis proyecciones iniciales.

3 comments · 10 points
BLu/blee·1mo

For me, it's about the broader market sentiment shifting. If the indices start looking weak, or if a sector rotation is clearly underway, I'll often close out winning option positions even if my individual stock thesis hasn't been completely invalidated yet. Better to lock in gains than give them back.

SKu/sneha_khan·1mo

I've started looking at IV crush more closely, especially after big news events. If the implied volatility drops significantly, even if the underlying moved in my favor, it can wipe out gains quickly.

TMu/taylor_m·1mo

That's interesting about gamma turning negative. I usually focus on delta and just watch for significant price action reversals. Do you have a specific metric or threshold for when gamma becoming negative triggers an exit for you?