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衍生工具部 (Derivatives)
輝立期貨

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沽出恆指9月22,000認購期權 (CALL)

Wednesday, September 3, 2008 Views1466
後市9月預料會於20,000至22,000內反覆,預計恆指於9月份仍看淡,恆指仍受制於50天平均線即22,153。

技術分析

1) 收縮形態三角已形成,三角形的頂軸即大約22,000點樓上出現阻力。

2) MACD仍處於偏弱水平,向下尋底的機會比較大

買賣策略:

建議沽出恆指9月22,000認購期權 (HSI22000I8)

恆指期貨於09年9月3日(星期三)收市報20,544、上述行使價的認購期權收市價為200,引伸波幅為31%,按金一手為$60,214

建議於明天開市以200沽出上述認購期權,收取一手期權金200 x $50 = $10,000

止蝕價: 22,050

如手上現金有限,亦可選擇沽出相同行使價的小型恆指期權,按金大約為以上大權的 5份之一

如對上述內容有任何查詢,歡迎致電2277 6611與我們聯絡。

註:作者為證監會持牌人士,本評論祗作參考之用,投資者買賣需自行判斷,若因此引致任何損失,本人概不負責。

另外,本人並無持有以上建議的投資產品。

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The risk of loss in trading futures contracts or options is substantial.  In some circumstances, you may sustain losses in excess of your initial margin funds.  Placing contingent orders, such as “stop-loss” or: stop-limit” orders, will not necessarily avoid loss.  Market conditions may make it impossible to execute such orders.  There is a possibility that any stop-loss order may be cancelled by a futures exchange due to various reasons including where orders are ‘out of price limits’ during a fluctuating market.  You should closely monitor your orders, as we may be unable to contact you in the event of cancellation.  You may be called upon at short notice to deposit additional margin funds.  If the required funds are not provided within the prescribed time, your position may be liquidated.  You will remain liable for any resulting deficit in your account.  You should therefore study and understand futures contracts and options before you trade and carefully consider whether such trading is suitable in the light of your own financial position and investment objectives.  If you trade options you should inform yourself of exercise and expiration procedures and your rights and obligations upon exercise or expiry. You should study carefully the Disclosure Statements of Local Futures on our website

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