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Details 👉 https://www.gate.com/announcements/article/
轮转策略听起来不错。卖出看跌期权。被行权。卖出保护性看涨期权。重复。问题在这里。你卖出一个$600 Q看跌期权,收取682美元。用来保证这笔交易的现金?60,000美元闲置。那是每月1%,年化12%。与此同时,纳斯达克在三年内上涨了134%。你做了所有这些工作。你为每份财报感到压力。你一次又一次地进行交易。你的表现比买入持有落后90%,在三年内。当市场下跌35%时,你不是处于资本化模式,而是在生存模式。试图从已行权的股票中抽身,错过了整个反弹。轮转就像仓鼠轮。投资组合中的保护性看跌期权+远期期权+基础投资组合。这就是退出的方式。