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wiki/concepts/BONDING-Strategy.md
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wiki/concepts/BONDING-Strategy.md
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---
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title: "BONDING Strategy"
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type: concept
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tags: [trading, prediction-market, contrarian]
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last_updated: 2026-05-18
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---
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## Aliases
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- Contrarian Strategy
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- 均值回归策略
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- 逆向策略
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## Definition
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BONDING 策略是一种逆向/均值回归交易策略,专用于 Polymarket 等预测市场。当市场因突发新闻而过度反应(概率在短时间内骤降超过 10%)时,逆向建仓押注价格回归。该策略假设市场情绪化反应会导致定价偏差,为逆向投资者提供机会。
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## How It Works
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1. 监控 Polymarket 市场的概率突变事件
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2. 当概率因新闻在短时间内骤降 >10% 时触发信号
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3. 逆向建仓(买入被恐慌抛售的选项)
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4. 等待价格回归到合理区间
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5. 达到目标价位时平仓获利
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## Parameters
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- 概率骤降阈值:>10%(短时间内)
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- 建仓时机:新闻事件后的恐慌期
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- 持仓周期:价格回归期间(可能较长)
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## Related Strategies
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- [[TAIL Strategy]]:趋势跟踪策略,在市场强势时顺势操作
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- [[SPREAD Strategy]]:套利策略,在定价错误时捕获无风险收益
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## Source
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- [[polymarket-autopilot]]
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wiki/concepts/SPREAD-Strategy.md
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wiki/concepts/SPREAD-Strategy.md
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---
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title: "SPREAD Strategy"
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type: concept
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tags: [trading, prediction-market, arbitrage]
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last_updated: 2026-05-18
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---
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## Aliases
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- Arbitrage Strategy
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- 套利策略
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- 价差策略
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## Definition
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SPREAD 策略是一种套利交易策略,专用于 Polymarket 等预测市场。在预测市场中,每个问题的 YES 和 NO 代币价格之和理论上应等于 1(100%)。当两者之和大于 1.05 时,意味着市场定价存在偏差,存在无风险套利机会——同时买入 YES 和 NO,持有到期必然获得 5%+ 的无风险收益。
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## How It Works
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1. 监控 Polymarket 各市场的 YES + NO 价格之和
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2. 当价格之和 > 1.05 时触发套利信号
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3. 同时买入 YES 和 NO 代币
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4. 持有至事件结算(无论结果如何均获得固定收益)
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5. 结算后获得约 5%+ 的无风险回报
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## Parameters
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- 套利价差阈值:YES + NO > 1.05
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- 最小预期收益:5%(扣除手续费前)
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- 持仓周期:事件结束时间
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## Risk Considerations
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- 需要足够的流动性确保成交
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- 手续费可能侵蚀套利收益
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- 市场流动性不足时可能无法完成完整套利
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## Related Strategies
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- [[TAIL Strategy]]:趋势跟踪策略,在市场有明确趋势时顺势操作
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- [[BONDING Strategy]]:逆向策略,在市场过度反应时反向操作
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## Source
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- [[polymarket-autopilot]]
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wiki/concepts/TAIL-Strategy.md
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wiki/concepts/TAIL-Strategy.md
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---
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title: "TAIL Strategy"
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type: concept
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tags: [trading, prediction-market, trend-following]
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last_updated: 2026-05-18
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---
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## Aliases
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- Trend-Following Strategy
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- 趋势跟踪策略
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## Definition
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TAIL 策略是一种趋势跟踪交易策略,专用于 Polymarket 等预测市场。当市场成交量显著放大且概率动量明确(概率 >60%)时,顺势建仓跟进趋势。该策略假设强势趋势会延续,适合在高流动性、高关注度的市场中应用。
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## How It Works
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1. 监控 Polymarket 市场成交量和概率变化
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2. 当概率超过 60% 且成交量明显放大时触发信号
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3. 顺势建仓(买入当前胜率更高的选项)
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4. 设定止盈/止损阈值
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5. 趋势减弱时平仓
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## Parameters
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- 概率阈值:>60%(可调整)
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- 成交量倍数:需显著高于日常均值
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- 持仓周期:趋势持续期间
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## Related Strategies
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- [[BONDING Strategy]]:逆向策略,在市场过度反应时反向操作
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- [[SPREAD Strategy]]:套利策略,在定价错误时捕获无风险收益
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## Source
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- [[polymarket-autopilot]]
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