Ajaatasatru
Pilla Bewarse Username: Ajaatasatru
Post Number: 440 Registered: 04-2016 Posted From: 209.67.156.8
Rating: N/A Votes: 0 | Posted on Friday, July 21, 2017 - 11:58 am: | |
Andhrajamesbond:
I have been in these kind of 'gut feel' analysis, and this strategy is dangerous in the long term. Typically, big shots have limits/criteria on Volatility of the portfolio. Hence the dependence on stock Vol/SPY VIX. oka sari Vol spike aite, managers have to drop the stock they dont have choice. So whenever Stock spikes, good chances there would be a sell off. The ideal way you want to trade is, let the storm subside. Smaller candles + nice base forming + Support levels chuskunte, if you then buy and wait for 1 month, you could typically sit on such positions in peace. Same goes with Option play, but may be with some more caution. Near Vol spike events, IV increases so you should pick your strike and SELL the options. If the IV drops to major low, BUY the Options. I do notice Tingu,Kubang look at Low IV to buy. But more profitable strategy in long term is to SELL Calls. |