FEby u/felipe2·26dDiscussion

波段交易策略:财报季影响

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随着财报季临近,大家是如何调整波段交易策略的?我倾向于在持仓股票的财报日期前后减小仓位,放宽止损,并更多关注财报后的催化剂以寻找新的入场机会。有没有人会逆势操作财报反应,或者更喜欢在财报公布前进行操作?

4 comments · 12 points
JEu/jelena86·25d

Fading earnings reactions can be profitable, but it requires a lot of conviction and quick execution. I've found it's less about the earnings itself and more about the market's overreaction to the news.

IRu/irinajovanovic·24d

Interesting approach. Do you find that widening stops truly protects you enough around earnings, or are you still getting stopped out more frequently? I've considered doing the same but worry about giving back too much.

PEu/pedroreyes·25d

I actually like to play the run-up, but with very tight stops. It's high risk, high reward, and I usually only do it on a small percentage of my capital. Once earnings hit, I'm out regardless.

NTu/nguyen_tyler·25d

I'm with you on reducing position sizes. Earnings are just too much of a coin flip for swing trading, even with all the research. I'd rather wait for the dust to settle.

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