在财报季管理 $NDX 长期跨式期权
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对于那些持有 $NDX 成分股长期跨式期权的交易者,你们在财报发布后如何管理它们?是平仓整个头寸,还是平掉其中一边以捕捉剩余的方向性波动?正在寻找优化事件后波动率暴跌的策略。
3 comments · 2 points
由原文自动翻译 · 阅读原文 (English)
对于那些持有 $NDX 成分股长期跨式期权的交易者,你们在财报发布后如何管理它们?是平仓整个头寸,还是平掉其中一边以捕捉剩余的方向性波动?正在寻找优化事件后波动率暴跌的策略。
I usually close out the entire straddle post-earnings. The vol crush is just too severe to hold onto both legs, and the directional move is often not enough to offset it.
Legging out is definitely the way to go if you have a strong conviction on the post-earnings direction. I'll often keep the call if the earnings were good and sell the put, or vice versa, to try and capture any lingering momentum.
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