给你们介绍一种更复杂的期权组合 (Iron Condor)

三心三意
楼主 (文学峸)

This one could be used on Tesla as it is right in the middle of its potential target range betwwen 310 to 390.

With Tesla at 350, you can do Oct 24th option (1 week after its earning).

Sell Call spread (sell call 360 / buy call 390)

Sell Put spread (sell put 340 / buy put 310)

This combo together gives you about $20 credit.

Profit and Loss situation

Profit range: As long as Tsla stays within 320 to 380 range by Oct 24th, you are profitable. Even further, if TSLA is right between 340 to 360, you keep the entire $20 credit as profit, this is your max profit

Loss range: If TSLA drops below 320 or above 380 by Oct 24th, you start to lose money, but your max loss is $10, occured when TSLA cross 390 on the upside, or 310 on the downside

三心三意
This works especially well if you already have shares

Because if Tesla does go above 390, you lose on this option combo, but your main shares are gaining value.

On the downside, you will lose some money if Tesla goes below 320 but it is probably less than if you selling naked put here (you will have huge loss if Tesla goes below 320 by selling naked put now)

三心三意
我经常用这个,但因为它的复杂性,过去没有说这个
B
BrightLine
解析三心的操作,哈哈

三心三意
期权用的恰当, 结合你手上的正股,就是一个零花钱的提款机:)
B
BrightLine
设计不错,最多赚20,最多亏10块,可行,哈哈
B
BrightLine
如果我坚信特斯拉年底能到400,是不是买个leap strike360,1/2026到期赚得更多?对leap不熟
三心三意
不能光看期权本身,在特斯拉上行空间,这个期权亏了,说明你的正股一定是赚的
三心三意
股市没有什么是一定的。如果你坚信,应该买390的call,lol
B
BrightLine
但是下行就是亏双倍?哈哈
m
marilyn
这个策略不错,可以试试,不过Tesla 一旦开始涨,就很难追上。
B
BrightLine
390比较危险,360应该没问题吧,给点试错的空间
m
marilyn
tsla 据说有资金进入了,360 更稳妥,390 如果不到,you will lose all premium。
三心三意
sell naked put 亏的要比这大2-3倍
三心三意
所以你还是不“坚信”, LOL
三心三意
如上所说,这个策略在你已有特斯拉正股的基础上更好
B
BrightLine
同意
B
BrightLine
要给自己犯错误的空间啊,哈哈,经常被打脸的
三心三意
如果没有正股,这个策略概率会低不少
灵山问禅
你可以买了leap后卖短期call降低成本
m
marilyn
好的,
B
BrightLine
可行
d
dancingpig
我倾向做改良,卖call spread+裸put+discipline, 特斯拉IV高,spread的价差太差强人意了
d
dancingpig
+1
三心三意
Naked put risk could be big if elon acts up:)
d
dancingpig
是的,所以加discipline, 如果Put价翻倍的时候咬牙买入 :(
三心三意
哈哈哈,我记得你上一次刚卖put,一龙就跟老川闹翻了
砚雨
多谢分享,记下了,以后要多花时间学期权
*
*江南雨*
小本子记下,学习实践中,谢谢!!
喜欢简单2023
谢谢三心老大,这 sell call 360 / buy call 390 strike prices 是怎么选定的?

Sell Call spread (sell call 360 / buy call 390)

Sell Put spread (sell put 340 / buy put 310)

360/390 & 340/310 是怎么选定的? Delta? 还是其他参数?

谢谢

三心三意
做IC,更重要的是股价范围的估计,选10/27是它财报后一周,估计财报不错,因为Q3 rebate,但Q4不一定会好