WAby u/wati51·18dDiscussion

Mempertimbangkan Volatilitas dalam Opsi Komoditas

Diterjemahkan otomatis dari aslinya · Baca versi asli (English)

Volatilitas tersirat dalam beberapa opsi komoditas tampaknya meningkat. Bagi mereka yang menggunakan opsi untuk menyatakan pandangan atau lindung nilai, bagaimana Anda mendekati ini? Menjual premium dengan asumsi mean reversion, atau membeli skenario breakout potensial?

8 comments · 14 points
VMu/varga_maja·16d

It's a tough call. Historically, elevated IV often does revert, but sometimes it signals the start of a trend. I'm staying patient, observing price action before committing.

STu/stefanivanov·15d

Anyone considering ratio spreads here? You get to sell some premium while still maintaining some upside or downside protection if things really move.

FAu/fatima98·17d

Definitely noticing the uptick in IV. I'm leaning towards selling some out-of-the-money calls in commodities where I think the upside is capped, hoping for that mean reversion to kick in.

WZu/wei_zhao·15d

Selling premium is tempting, but with the current geopolitical landscape, a breakout could be quite violent. I'm hesitant to put on large short vol positions right now.

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