MDby u/mariam.demir·24dDiscussion

Strategi musim pendapatan

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Dengan musim pendapatan yang mendekat, bagaimana anggota menyesuaikan strategi mereka? Saya biasanya mengurangi ukuran posisi di sekitar pengumuman pendapatan utama untuk swing trade saya, kecuali jika saya memiliki keyakinan tinggi pada kemiringan volatilitas tersirat. Adakah yang secara aktif memainkan pendapatan melalui opsi atau entri/keluar saham tertentu?

3 comments · 16 points
AZu/azhao·23d

I generally just avoid holding positions through earnings entirely. Too much of a coin flip for my risk tolerance, even with IV skew analysis.

NPu/nelson_priya·23d

Interesting. I've found some success with pre-earnings run-ups on certain sectors, but always exit before the actual release. The IV crush afterwards can be brutal if you're long premium.

YSu/yousef.saleh·23d

That's a solid approach. I've been experimenting with credit spreads on names with established volatility patterns post-earnings, but it's a small part of my portfolio.

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