多頭增益策略 (Covered Call)月份
月份 |
履約價 |
參考價 |
避險比率 |
避險效果 |
避險成本 |
殘餘風險 |
分析 |
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
09/11 |
340 |
$25 |
0.1294 |
0.0519 |
$99,800 |
-0.8706 |
|
多頭增益策略 (Covered Call)
買/賣 |
月份 |
履約價 |
型式 |
參考價 |
權利金 |
距到期日數 |
部位分析 |
買進 |
09/01 |
6900 |
買權 |
27.5 |
$11,325 |
43 |
|
大台指 |
09/01 |
- |
- |
27.5 |
-/td>
| 43 |
|
敏感度分析 (Sensitivity Analysis)
波動度分析 (Volatility Analysis)
損益分析 (Profit & Loss Analysis)
損益平衡點(BEP) |
最大獲利(MP) |
最大損失(ML) |
到期達成率 |
最大獲利倍數 |
期望報酬率 |
4726以上 |
-- |
$-16,300 |
56.95% |
11.31 |
600.87% |
多頭增益策略圖示
2009/11 台指買權340C |
成交價 |
306 |
成交時間 |
13:45:01 |
漲跌 |
-226 |
買進 |
76 |
漲跌幅 |
-42.46% |
賣出 |
79 |
現量 |
10 |
開盤 |
105 |
總量 |
16558 |
最高 |
136 |
未平倉量 |
11816 |
最低 |
71 |
內含價值 |
932.60 |
時間價值 |
17.40 |
理論價值 |
950.89 |
折溢價% |
1.16 |
委託最佳買進五檔 |
委託最佳賣出五檔 |
價格 |
數量 |
價格 |
數量 |
76 |
41 |
79 |
66 |
75 |
19 |
80 |
8 |
74 |
10 |
81 |
20 |
73 |
9 |
82 |
41 |
72 |
10 |
83 |
1 |
合計 |
27 |
合計 |
20 |