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回顧當初涉足期權市場的時候,經已是2009年的事情。當時有關期權的資訊的確少得可憐,相關的書藉只有一兩本,網上資源也少之有少,內容也並非以港股為主題,身邊可與以分享經驗的前輩更是零,要從頭開始對基本概念有所掌握已絕非易事,更遑論實際操作上該如何著手。

 

時至今日,市場成熟了,資源豐富了,初學者要取得有關期權的資訊經已比當年輕鬆得多,然而資訊的發達對新手而言並不一定是有益的,在資訊氾濫而缺乏完整性的情況下,好可能比沒有得到任何資訊更差,所謂一知半解正是如此。

 

就筆者觀察所得,現時市場上絕大部份有關期權書藉及網上資訊,重點普遍都集中在獲利方法之上,然而背後的原理及風險卻少有交代。例如,介紹某操作如何於短時間內獲利數十倍,卻完全沒有談及其成功率及所涉風險,情況猶如告訴大家六合彩頭獎獎金如何豐富,卻完全沒有談及中獎機率其實只有千萬份之一。這些缺乏完整性的資訊內容好可能存在偏頗,甚至乎具有誤導成份,如是者大家在一知半解的情況下便真金白銀地進行實際交易,最終結果可想而知。

 

有見及此我們將反其道而行,從最根本著手,將重點集中在期權基本的運作原理、交易平台的設定及操作、實際操作的注意事項及交易所涉風險之上,希望讀者能夠從另一角度,對期權作出更全面及深入的了解,從而打好基礎,向更具效率的交易道路進發。

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