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Great use of the collar strategy to manage your risk! Buying a downside put is a prudent move to protect against significant losses. Selling an upside call to offset some costs while limiting gains is a balanced approach.
这个策略蛮稳健的,适合现在的行情
Smart move using the collar strategy for risk management. Buying a downside put offers a safety net against a price breakdown, and selling an upside call helps manage costs. How do you determine the right timing to implement this strategy?
What indicators do you use to determine the potential for a price breakdown?