能源化工期权:能源化工期权策略早报-20260112
Wu Kuang Qi Huo·2026-01-12 01:56

Report Summary 1. Report Industry Investment Rating No relevant information provided. 2. Core Viewpoints - The energy - chemical sector is divided into energy, alcohols, polyolefins, rubber, polyesters, alkalis, and others. Strategies focus on constructing option portfolios mainly with sellers and spot hedging or covered strategies to enhance returns [2][8]. 3. Summary by Related Catalogs 3.1 Futures Market Overview - The report presents the latest prices, price changes, trading volumes, and open interest of various energy - chemical futures, such as crude oil, LPG, methanol, etc. For example, the latest price of crude oil (SC2603) is 438, with a price increase of 11 and a rise - fall rate of 2.67% [3]. 3.2 Option Factors - Volume and Open Interest PCR: This factor is used to describe the strength of the option underlying market and the turning point of the underlying market. For instance, the open - interest PCR of crude oil options is 0.48, with a change of 0.05 [4]. - Pressure and Support Levels: Determined from the strike prices of the maximum open interest of call and put options. For example, the pressure point of crude oil is 540, and the support point is 400 [5]. - Implied Volatility: It includes at - the - money implied volatility, weighted implied volatility, etc. For example, the at - the - money implied volatility of crude oil is 31.415%, and the weighted implied volatility is 43.66% with a change of 1.47% [6]. 3.3 Option Strategies for Different Products - Crude Oil: - Fundamental analysis: OPEC + is expected to maintain the original production suspension policy. Nigeria's crude oil + condensate production in November 2025 reached 1.6 million barrels per day, with a month - on - month increase of 1.3% [7]. - Market analysis: After a significant decline in October, crude oil rebounded and then fell back, showing a weak rebound trend [7]. - Option factor research: Implied volatility fluctuates below the average level; the open - interest PCR is below 0.70, indicating a weak market; the pressure point is 450, and the support point is 400 [7]. - Strategy suggestions: For directional strategies, there is none; for volatility strategies, construct a short - biased call + put option combination strategy; for spot long - hedging strategies, construct a long collar strategy [7]. - LPG: - Fundamental analysis: There is no significant increase in supply, and the chemical demand supports the price [9]. - Market analysis: It shows a volatile downward trend with pressure above [9]. - Option factor research: Implied volatility fluctuates around the average level; the open - interest PCR is below 0.80, indicating a weak market; the pressure point is 4300, and the support point is 4000 [9]. - Strategy suggestions: For directional strategies, there is none; for volatility strategies, construct a short - biased call + put option combination strategy; for spot long - hedging strategies, construct a long collar strategy [9]. - Methanol: - Fundamental analysis: China's methanol production and capacity utilization are expected to increase slightly, and there are import and domestic trade volume estimates [9]. - Market analysis: It shows an oversold rebound trend with pressure above [9]. - Option factor research: Implied volatility fluctuates around the historical average level; the open - interest PCR is below 0.60, indicating a weak market; the pressure point is 2300, and the support point is 2100 [9]. - Strategy suggestions: For directional strategies, there is none; for volatility strategies, construct a short - neutral call + put option combination strategy; for spot long - hedging strategies, construct a long collar strategy [9]. - Ethylene Glycol: - Fundamental analysis: The polyester load remains stable, and there are some device maintenance and restart situations [10]. - Market analysis: It shows a weak downward trend and then a volatile rebound [10]. - Option factor research: Implied volatility fluctuates above the average level and is rising; the open - interest PCR is below 0.60, indicating strong short - side strength; the pressure point is 3800, and the support point is 3600 [10]. - Strategy suggestions: For directional strategies, there is none; for volatility strategies, construct a short - volatility strategy; for spot long - hedging strategies, hold a spot long position + buy a put option + sell an out - of - the - money call option [10]. - PVC: - Fundamental analysis: Inventory is accumulating, and the supply - demand pattern is weak [10]. - Market analysis: It shows a downward trend and then a rebound with short - side pressure above [10]. - Option factor research: Implied volatility declines to below the average level; the open - interest PCR is below 0.60, indicating a continuous weakening market; the pressure point is 5000, and the support point is 4300 [10]. - Strategy suggestions: For directional strategies, construct a bullish call spread combination strategy; for volatility strategies, there is none; for spot long - hedging strategies, hold a spot long position + buy an at - the - money put option + sell an out - of - the - money call option [10]. - Rubber: - Fundamental analysis: There are changes in warehouse receipts and inventory levels [11]. - Market analysis: It shows a warming - up and rising trend with support below and pressure above [11]. - Option factor research: Implied volatility gradually returns to around the average level; the open - interest PCR is below 0.60, indicating a weak overall market; the pressure point is 17000, and the support point is 14000 [11]. - Strategy suggestions: For directional strategies, there is none; for volatility strategies, construct a short - neutral call + put option combination strategy; for spot hedging strategies, there is none [11]. - PTA: - Fundamental analysis: The PTA load is slightly increasing, and there are few device changes [11]. - Market analysis: It shows an oversold rebound and a short - term strong trend [11]. - Option factor research: Implied volatility fluctuates at a relatively low average level; the open - interest PCR is above 1.00, indicating a strong market; the pressure point is 4750, and the support point is 4400 [11]. - Strategy suggestions: For directional strategies, there is none; for volatility strategies, construct a short - neutral call + put option combination strategy; for spot hedging strategies, there is none [11]. - Caustic Soda: - Fundamental analysis: The capacity utilization rate of large - scale caustic soda enterprises is increasing, with regional differences [12]. - Market analysis: It shows a weak short - side trend with pressure above [12]. - Option factor research: Implied volatility fluctuates at a relatively high level; the open - interest PCR is below 0.60, indicating a weak market; the pressure point is 2320, and the support point is 2040 [12]. - Strategy suggestions: For directional strategies, construct a bearish spread combination strategy; for volatility strategies, there is none; for spot collar hedging strategies, hold a spot long position + buy a put option + sell an out - of - the - money call option [12]. - Soda Ash: - Fundamental analysis: Factory inventory is increasing, and the market is in a weak state [12]. - Market analysis: It shows a low - level weak volatile trend with pressure above and support below [12]. - Option factor research: Implied volatility fluctuates at a relatively high historical level; the open - interest PCR is below 0.50, indicating a short - side market; the pressure point is 1300, and the support point is 1100 [12]. - Strategy suggestions: For directional strategies, there is none; for volatility strategies, construct a short - volatility combination strategy; for spot long - hedging strategies, construct a long collar strategy [12]. - Urea: - Fundamental analysis: The supply - demand difference is decreasing, and enterprise inventory is rising, but the market is still strong [13]. - Market analysis: It shows a short - term weak trend with pressure above [13]. - Option factor research: Implied volatility fluctuates at a relatively low historical average level; the open - interest PCR is below 0.60, indicating strong short - side pressure; the pressure point is 1700, and the support point is 1640 [13]. - Strategy suggestions: For directional strategies, there is none; for volatility strategies, construct a long - biased call + put option combination strategy; for spot hedging strategies, hold a spot long position + buy an at - the - money put option + sell an out - of - the - money call option [13].