TLT是买入标的,因价格疲软且预期财政部对长端收益率的支持。
逐段跳播
接下来,Don,你今天又给我们带来了一个看涨的交易,尽管全球债券遭到抛售,但你看涨iShares TLT债券ETF。那么,请解释一下这里的论点,以及你预计债券在未来几周会如何表现。
Now, next, Don, you've brought us another bullish deal today, and you're bullish on the iShares TLT bond ETF , despite the global sell-off in bonds. So, explain the thesis here and what you expect the bonds to behave over the coming weeks.
全球债券抛售?这正是利用这种价格变动的时机。债券义警可能会出现在债券世界有一些抛售活动的地方。看,我非常关注期货产品。我在观察“ZN”,这当然是10年期国债合约。我在观察ZB,这是30年期国债。TLT可以说是两者的一个非常好的组合。
Global bond sales? This is the right time to take advantage of this type of price movement . Bond vigilantes may appear where there is some selling activity in the bond world. Look , I focus a lot on futures products. I am watching "ZN", which of course are 10-year Treasury bond contracts. I am watching ZB, which is a 30-year Treasury bond . TLT is a very good combination , so to speak, of both.
现在,我为什么要卖出看跌期权?对于那些不熟悉卖出看跌期权的人,让我们稍微谈谈这个策略。通过在这种特定情况下卖出看跌期权,我会卖出一个行权价为80的期权,到期日为11月20日。卖出这个期权意味着我实际上准备长期持有TLT,这意味着我实际上会买入债券交易所交易基金本身。
Now, why would I want to sell a put option? For those who are not familiar with selling put options , let's talk a little about the strategy. By selling a put option in this particular case, I would sell an option with an strike price of 80 until the expiry date of November 20. Selling this option means that I am actually ready to own the TLT in the long term, which means that I will actually buy the bond exchange-traded fund itself.
那么我为什么真的想采取这个头寸?暂时忘掉看图表,好吗?我们把这个留给Rick一会儿,可以吗?我相信声明已经发布了。财政部将介入以提供支持。如你所知,无论叫什么名字,收益率曲线控制仍然是收益率曲线控制。
你可以称之为“扭曲操作”。你可以称之为量化宽松的一个版本,好吗?但是财政部的Scotty B.表示他们将介入购买这条曲线的较长端,这在一定程度上支持了这个交易的观点。我不是在与美联储对抗;你知道美联储可能会提高短期利率。
在这种特殊情况下,我与财政部保持联系。这意味着我会卖出看跌期权,如果我被迫买入TLT,那很好。如果没有发生,看,我会在11月20日以80美元卖出看跌期权。这个看跌期权目前可以以大约1美元的信用卖出。
所以,如果我被迫买入,我会以80买入,但我的初始购买价格大约是79美元。所以,总成本价大约是79美元。
So why would I really want to take this position? Forget about looking at the graph for a moment, okay ? We'll leave this to Rick for a bit, is that okay? I believe the statement has already been released. The Treasury Department will step in here to provide support for this matter. As you know, yield curve control is still yield curve control regardless of what it's called. You could call this "Operation Twist". You could call it a version of quantitative easing , okay? But Scotty B. at the Treasury Department stated that they would step in and buy the longer part of this curve, which somewhat supports the thesis of this deal. I am not trading against the Federal Reserve; you know the Fed may raise short-term interest rates. I am in contact with the Treasury Department in this particular case. This means I will sell put options, and if I am obliged to buy TLT, that's great. If that doesn't happen, look, I'm going to sell a put option at $80 for November 20th. This put option can currently be sold for credit of about one dollar. So, if I am obliged to buy, I will buy it at 80, but my initial purchase price is around $79. So, the total cost price is approximately $79.
显然,再次强调,你需要对卖出裸看跌期权的想法感到舒适,以便想要收购这个投资基金的股份。
Clearly, once again, you need to be comfortable with the idea of selling a naked put option in order to want to acquire shares in this investment fund.
好的,Rick。当我们看这里的TLT框时,你在技术设置中看到了什么?你认为近期内有机会吗?正确。确保我们理解在卖出看跌期权的情况下分配风险的机制以及与之相关的一切总是好的。所以,在这种情况下,我们有一个向下倾斜的通道形态,给了我们81.17的最低水平。
现在,我们已经向上突破了这条通道。你现在可以画一条不同的边界线。一条好的趋势线通常连接三个或更多的点。所以,我们只是试图用这条线追踪我们的最后轨迹。但我们的白色线在83.20水平附近受到了测试。
那大约是我们短暂突破之前峰值的地方,但很快就崩溃了。现在,我们已经回落到82水平以下。81.17水平是我们过去52周的最低点。同时,84.30和84.80水平也是上行的目标。所以,如果我们像我们说的那样下跌,需要达到79才能让这笔交易开始达到盈亏平衡点。
所以,这将是看待下行的一个好方法。因此,我们的5日和21日移动平均线大约在8226和8262之间,长期趋势向下,我们的251日指数移动平均线也在向下。所以,如果我们再次开始穿越这些移动平均线,它们更短且不太重要,但它们是可能趋势逆转的早期预警信号。
所以这可能是一个值得关注的重要事情:相对强弱指数(RSI)低于50中线。你可以在这里画一条非常渐进的上升趋势线,可能正在发挥作用。所以寻找推动回到50中线以上的力量。成交量分布在这种情况下显示,我们在当前82到83位置附近有一个节点,那里的交易似乎不那么激烈。
我们的控制点在顶部的87.14。那是我们图表上交易最密集的区域。嗯,我们目前在8180,今天几乎在盈亏平衡线上。
Okay, Rick. As we look at the TLT box here, what do you see in the technical settings here? Do you see any possibility of an opportunity in the near term? correct. It is always good to make sure we understand the mechanisms of allocation risk and everything related to it in the case of selling a put option. So, in this case, we had a downward-sloping channel shape that gave us our lowest levels at 81.17. Now, we have broken through this channel upwards . You can draw a different border line now. A good trend line usually connects three or more points here. So, we are just trying to trace our last trail with this line. But our white line here has been tested around the 83.20 level . That was roughly where we saw our brief incursion over previous peaks, but it collapsed quickly here. Now, we have fallen back below the 82 level. The 81.17 level stands out as our lowest point over the past 52 weeks. Meanwhile, the 84.30 and 84.80 levels also stand out as upside targets. So, if we move down as we said, it will take reaching 79 for this trade to start reaching the breakeven point. So, that would be a good way to look at the downside here. Therefore, our 5-day and 21-day moving averages are roughly between 8226 and 8262 with a long-term downward trend , and our 251-day exponential moving average is also trending downwards. So, if we start to cross those moving averages again, they are shorter and less important, but they are early warning signs of a possible trend reversal. So this could be an important thing to watch: the Relative Strength Index (RSI ) is below the 50 midline. You could draw a very gradual upward trend line here that might be in play. So look for a push to get back above the 50 midline here. The volume profile in this case shows that we have a node in this area around our current position near 82 to 83, where trading appears to be less intense . Our control point is at the top at 87.14. That is the most heavily traded area on our chart. Well, we are currently at 8180, which is almost at the breakeven line today.
这个频道对 $TLT 的历次判断
Schwab Network 在这只股票上只有这一条判断。