PANews 1月23日消息,据Glassnode分析,一月中旬比特币上涨期间,一周25D偏斜从深度看跌区域被拉向中性,同期期权成交量看跌/看涨比率从1降至0.4,显示强烈的看涨活动。关键问题不在于看涨期权是否被买入,而在于这种需求的实际期限有多短。更长期限的偏斜呈现不同情况:一个月25D偏斜仅从7%最低移至4%,仍处于看跌不对称区间;三个月25D偏斜变动小于1.5%,并稳固处于看跌区域,尽管近期看涨期权的需求旺盛,但仍持续反映出不对称的下行风险。这种差异表明,上行的需求是真实的,但集中在短期。交易量存在,但风险并未在所有期限被重新定价。
同时,平值期权的隐含波动率在价格上涨中被卖出,伽马卖方在上涨中获利了结。这种波动率行为并非典型可持续突破行情的特征。理想的突破行情需要现货价格逼近关键水平、各期限偏斜均坚定指向更高水平且波动率被买入,而上周的走势并未满足这些条件。
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