The Fourth Key: Differences in Weekly Strategy
Hello, I am Nikkei OP seller and administrator.
Thank you very much for visiting this blog.
I would like to provide information that can be of help to everyone, so please support me.
Now, the theme this time isDifferences in weekly strategies.
A few days left until January futures SQ, and we are entering the stage where focus begins to shift to the next month.
By the way, when you design strategies with options,how do you think about the time axis in constructing your strategy?
☆ Do you think in terms of time remaining until SQ?
☆ Or, do you not care about time at all and just focus on the momentum and direction of the market?
Of course, market momentum and direction are important.However, I, the administrator, am more conscious of the time axis.
☆ Do you consciously consider the time remaining until SQ, but not place much emphasis on holding to SQ?
☆ In other words,four weeks before SQ, three weeks before SQ, two weeks before, one week before—your strategies should naturally change.
As long as capital is finite, I believe this is an especially important factor, particularly for selling strategies.
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Note) The above reflects my personal views, and is intended only to improve financial literacy. Therefore, it was not created for investment solicitation purposes. Please make final investment decisions at your own responsibility.