财报季交易 $NDX 差价合约
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科技板块仍然是 $NDX 的重要驱动因素,目前 $NDX 下跌 0.42%,报 30278.82。在财报季交易纳斯达克 100 差价合约需要仔细考虑事件风险。我的策略通常是在重大公告前减小头寸规模或平仓,除非我有非常强的信念并严格管理风险。
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由原文自动翻译 · 阅读原文 (English)
科技板块仍然是 $NDX 的重要驱动因素,目前 $NDX 下跌 0.42%,报 30278.82。在财报季交易纳斯达克 100 差价合约需要仔细考虑事件风险。我的策略通常是在重大公告前减小头寸规模或平仓,除非我有非常强的信念并严格管理风险。
Interesting approach. Do you ever consider playing the volatility crush after earnings, or do you find the pre-announcement risk too high to even consider?
I've actually had some good success with small, highly targeted plays into earnings on NDX components, but it requires a lot of research and even then, it's still high risk.
I do something similar with NDX CFDs around earnings. It's just too much of a coin flip for me to hold through unless it's a small hedge.
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