warriorinvest

【美股交易01.25.2022】标普spy和uvxy

AMEX:UVXY   ProShares Trust Ultra VIX Short Term Futures ETF
这波纳指20个点的下跌没有一次反弹,所谓的反弹都是日内跌然后拉回,发生过两次,第二天就继续跌,要么高开2个点或一个点,盘中迅速抹平涨幅,跌下去2到3个点,都是骗炮,除了日内交易,你但凡做多过夜就死,做日内波动还挺大的,把握住节奏赚翻了

截止今天,IWM从高点回撤21.68%,纳指最多回撤18.23%,标普和道指大概回撤10%
今天微软业绩先跌后张,明天看反弹,标普看反弹到451,今天uvxy差点跌破17.3的一个支撑,从图形上看标普在做头,uvxy在做底,反弹做空

Trade active:
这几天交易都很顺利,周一市场剧烈下杀,然后日内反转,很罕见,我持有netflix正股和期权,上周五抄的底,期权行权价在400,止损600刀,正股387建仓,后来补仓均价到380,v回来后(周五netflix收盘时397)break even清仓了,然后开空仓做了sqqq和soxs,开了iwm put,周二开盘跳空低开止盈空仓,中间反弹开了多仓netflix,asml和fb,tqqq,tna和soxl,spy期权,tqqq期权,周三早上高开平掉多头仓位,开仓uvxy和soxs做空,尾盘盘随着鲍威尔的讲话暴跌,止盈空仓,继续开了xlf,udow,tna的多仓。。。开金融和道指是因为加息利好
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