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Futures roll strategies

Futures Roll Strategies

Futures contracts have expiration dates. As a contract approaches its expiry, traders must either close their positions or “roll” them over to a new contract with a later expiration date. This process is known as a futures roll. Understanding roll strategies is crucial for managing risk and maximizing profitability in futures trading. This article provides a beginner-friendly overview of common futures roll strategies.

What is a Futures Roll?

A futures roll involves closing out a near-expiry contract and simultaneously opening a new position in a further-dated contract for the same underlying asset. This is typically done to maintain continuous exposure to the market. The difference in price between the expiring contract and the new contract is known as the roll yield. A positive roll yield benefits the trader, while a negative roll yield detracts from profits.

Why Roll Futures Contracts?

There are several reasons why traders roll their futures contracts:

Conclusion

Futures roll strategies are an integral part of successful futures trading. By understanding the concepts of contango, backwardation, and the various roll strategies available, traders can effectively manage risk, optimize returns, and maintain continuous exposure to the markets. Continued education in technical indicators, fundamental analysis, and market sentiment will further enhance proficiency.

Futures contract Trading strategy Risk management Contango Backwardation Roll yield Futures market Expiration date Order execution Liquidity Slippage Trading volume Open interest Brokerage fees Volatility Market depth Trend following Arbitrage Supply and demand Time series analysis Position sizing Statistical arbitrage Market structure Price discovery Bid-ask spread Bollinger Bands Global markets Options trading Algorithmic trading VWAP analysis TWAP analysis Technical indicators Fundamental analysis Market sentiment

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