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Crossing the Sea
2017
year
10
month
3
day


Focus this week:
10month4day(Wednesday)
U.S.A9monthADPChanges in private employment positions
U.S.A9monthMarkitcomprehensivePMIFinal value
U.S.A9monthMarkitService industryPMIFinal value
U.S.A9monthISMNon manufacturing index

10month5day(Thursday)
U.S.A9monthChallengerNumber of layoffs planned by the company
Number of weekly initial claims for unemployment benefits in the United States
U.S.A8Monthly International Trade Balance
U.S.A8Monthly factory order rate
U.S.A8Monthly Durable Goods Order Monthly Rate Revision

10month6day(Friday)
U.S.A9Monthly non-agricultural employment positions
U.S.A9Monthly unemployment rate
U.S.A9Monthly average hourly salary
U.S.A8Monthly wholesale inventory‧销售月率修订

10month7day(Saturday)
U.S.A8Monthly Consumer Credit



Important economic data released today:   
1800eurozone8Monthly Producer Price Index(PPI)Monthly rate‧forecast+0.1%‧Front value remains unchanged
1800eurozone8Monthly Producer Price Index(PPI)the annual rate‧forecast+2.3%‧Previous value+2%


News of the Week
Monday/美国达拉斯联储总裁:美联储将需“仔细研究”是否应在12Monthly interest rate increase

U.S.A8Monthly construction expenditure increases0.5%
U.S.AISM9The monthly manufacturing index is60.8, creating2004year5The highest since the beginning of the month
U.S.A9monthMARKITManufacturing Purchasing Managers Index(PMI)The final value is53.1



10month2day
LondongoldMorning order price:1273.10
London gold afternoon fixing price:1273.70



Today's Introduction
周一美国股市三大stock market index均创纪录收盘新高上,因数据直指美国经济的潜在势头强劲。一项美国制造业活动指数在9月急升至13年半高位,因飓风哈维和伊尔玛给供应链造成的破坏性影响,导致工厂商品交割时间延长,并推高原材料价格。美国供应管理协会(ISM)According to data released on Monday, the United States9The monthly manufacturing index is60.8,高于预估的58。 U.S.A8月建筑业支出亦反弹,结束连续两个月下滑的势头,因民间和公共项目支出均增加。美元维持高位,受益于美国公债收益率上涨。美国指标10年期公债收益率周一触及7月中以来最高位,此前公布的乐观数据强化了美联储12月将再次升息的预期。美国推进税改的前景,加上特朗普总统可能将任命更偏向鹰派的人选担任美联储下任主席,都为美元构成提振。欧元兑美元下跌,因西班牙出现几十年来最严峻的宪政危机而面临沉重压力。加泰罗尼亚周日独立公投的结果,为这个西班牙最富裕地区最快在本周宣告独立提供了可能。



XAU London Gold - 美联储升息前景提振美元上涨

金价周二跌至七周低点,乐观经济数据和强劲的美债收益率令股市和美元保持强势。美国达拉斯联储总裁柯普朗周一表示,美联储将需“仔细研究”是否应在12月加息,但在升息之前,无需等待通胀确实回到、甚或开始重返2%的目标。白宫周一排除与朝鲜进行对话的可能性,即使对话,也只会讨论被扣留在朝鲜的美国公民问题。这似乎再次反驳了国务卿蒂勒森的说法,蒂勒森之前称,华府在与朝鲜就核武和导弹计划进行直接沟通。

London Gold9月月线下跌2.8%,为今年迄今最大的月线跌幅,亦为去年11月以来最大月线跌幅。不过,金价第三季季线则收高3.5%。技术图表所见,金价在9月中旬跌破了起延自七月份的上升趋向线以及25天平均线支撑,配合9Tianhe25天平均线已形成利淡交叉,以及相对强弱指标及随机指数维持下行,反映着中期走势仍处偏软发展。由7month10Daily low1204.45USD to9month8Daily high1357.54美元的累计涨幅计算,61.8%的回吐水平会看至1263美元,将为支撑参考。较大支持依据估计为1253and1237美元。另一方面,上方阻力则先回看1283and1292,较大阻力则会回看25Balance moving average1311Horizontal.
        
London Gold10Monthly forecast amplitude:
Resistance level:1300 1321 1350 1380
Support bit:1267 1237 1217 1177

London Gold10month2day 6Daily predicted wave amplitude:
Resistance level:1288 1298 1325 1361
Support bit:1260 1250 1232 1213

London Gold10month3day
Predicting early wave amplitude:1263 1274
Resistance level:1283 1292
Support bit:1253 1237

SPDR Gold TrustGold holdings:
9month11Day -835.68ton
9month12Day -838.64ton
9month13Day -838.64ton
9month14Day -838.64ton
9month15Day -838.64ton
9month18Day -843.96ton
9month19Day -846.03ton
9month20Day -846.03ton
9month21Day -852.24ton
9month25Day -856.08ton
9month26Day -862.58ton
9month27Day -864.65ton
9month28Day -864.65ton
10month2Day -859.33ton

8Monthly goldfuturesDue date:8month29day
12Monthly goldoptionDue date:11month27day

Global Official Gold Reserve:
(Data source: World Gold Council(WGC), updated on2017year7month7day)

Global:33465.1(+39.5ton)
U.S.A(1)8133.5ton
Germany(2)3374.1ton (-3.2ton)
IMF(3)2814.0ton
Italy(4)2451.8ton
France(5)2435.9ton
China(6)1842.6ton
Russia(7)1715.8ton (+28.5ton)
Switzerland(8)1040.0ton
Japan(9)765.2ton
Netherlands(10)612.5ton

European Central Bank(12)504.8ton
britain(17)310.3ton
Hong Kong(93)2.1ton



XAG London Silver - 银价延续弱势

伦敦白银方面,相对强弱指标及随机指维持低位横盘;下方支持料为16.30and15.70美元。若果以黄金比率计算,50%and61.8%的回调为16.53and16.14美元。上方阻力参考17.00,较大阻力则料为17.50and18.10USD.        


London Silver10Monthly forecast amplitude:
Resistance level:17.17 17.50 18.00 18.70
Support bit:16.30 15.70 15.30 14.50

London Silver10month2day 6Daily predicted wave amplitude
Resistance level:17.00 17.50 18.10 18.60
Support bit:16.70 16.20 16.00 15.40

London Silver10month3day
Predicting early wave amplitude:16.30 16.60
Resistance level:16.80 17.00
Support bit:16.10 16.00
                                                               
iShares Silver TrustSilver holdings:
9month18Day - 10141.26ton
9month19Day - 10106.00ton
9month20Day - 10106.00ton
9month21Day - 10106.00ton
9month25Day - 10163.29ton
9month26Day - 10163.29ton
9month27Day - 10163.29ton
9month28Day - 10163.29ton
10month2Day - 10163.29ton



EUR euro  - 加泰罗尼亚局势受关注,欧元走势承压

周日举行的加泰罗尼亚地区独立公投引发骚乱,欧元兑美元周一显著承压。投资者正密切关注西班牙局势发展。此前警方使用警棍和橡皮子弹,意图中断这场被政府禁止的公投行动。加泰罗尼亚官员称,有超过800人在这场冲突中受伤。西班牙首相拉霍伊目前面临该国数十年来最大的宪政危机,多家报纸评论文章表示,这场公投势必引爆西班牙政府与加泰罗尼亚之间的重大冲突。这场公投已遭法院判决违法,但加泰罗尼亚官员表示,90%的选民支持退出西班牙。欧元兑美元下跌至1.1730水平下方,逼近8月中旬以来最低;上周三曾低见至1.1715。另一边厢,美元则继续走稳,美元指数升见93.60上方。美元上周在“特朗普行情”回暖的带动下,录得2017年迄今的最大单周涨幅。市场预期美国总统特朗普将兑现陷入停滞的税改方案,并认为美联储在年底之前将再度升息。尽管市场观察人士仍对美元的长期前景持怀疑态度,认为税改计划要成为立法还需时日;不过,利差扩大及经济获得刺激的预期心理还是对美元走势形成支撑。

欧元兑美元在9月份创下自今年2月以来首个月度跌势,月内下跌近1%。技术图表所见,汇价在上月先后跌破25Days and50天平均线支撑,纵然上周尾段一度反扑,但明显受制50天平均线。同时,相对强弱指标及随机指数重新回落,以至10Sky shattering25天平均线形成利淡交叉,均示意着欧元中短期前景依然向淡。倘若以自六月起始的累计涨幅计算,38.2%The level of feedback is1.1720,正好接近上周低位,进一步扩展50%and61.8%的调整幅度则会看至1.1610and1.1490。估计中期重要支撑则指向1.13水平,此区为今年五月下旬至六月的横盘区间顶部位置。向上阻力则会回看50Days and25天平均线的目前水平1.1840and1.19,下一级则留意1.20Gateway.
        
Estimated wave amplitude:
resistance1.2000 - 1.2170 - 1.2370
support1.1710 1.1600 1.1500

Focus:
10month3day(two):意大利第二季公共赤字与GDPRatio‧eurozone8monthPPI
10month4day(three): Italy9monthMarkit/ADACIService industryPMI‧France9monthMarkitService industryPMIFinal value‧MarkitcomprehensivePMIFinal value‧Germany9monthMarkitService industryPMIFinal value‧MarkitcomprehensivePMIFinal value‧eurozone9monthMarkitService industryPMIFinal value‧MarkitcomprehensivePMIFinal value‧eurozone8Monthly retail sales
10month6day(five): Germany8Monthly industrial order rate‧France8Budget balance within the month and year to date‧流动帐平衡‧Italy8Monthly retail sales

Related news
加泰罗尼亚地区领导人呼吁国际社会出面调停



JPY yen  - 日本众议院解散,10month22日提前选举

美元周二继续走高,因美国制造业活动数据表现强劲,推动美债收益率走高,进而促使投资者部分削减持有的过多美元空仓。据芝加哥商业交易所(CME)ofFedwatch指标,市场预计美国12月升息机率骤升至逾71%,一个月前为42%。与此同时,美元过去一个月累计上涨逾3%。虽然美元近日上涨,但今年以来跌幅仍超过8%

As seen in the technical chart, from2016年第三季至今,美元兑日圆走势呈现出一组三角型态,底部在107.80,顶部则位于112.80,汇价于9月早段守住三角底部后则持续上扬,至上周三触及两个半月高位113.25,暂见初步突破顶部阻力,估计后市将倾向维持走高。上试目标可留意113.50and114.50水平,较大阻力则参考今年初高位118.60。下方支持则先会关注250天平均线,上周初亦见汇价的整固亦刚好止步于此指针上方,目前250The antenna is in111.60,预料只要美元兑日圆可持稳此区上方,则上涨行情仍会延续着;至于较大支持则估计在110and109.50Horizontal.
        
Estimated wave amplitude:
resistance109.50 110.00 112.00
support108.80 - 107.20 105.00

Focus:
10month2day(one):日本第三季央行短观制造业景气判断指数‧Non manufacturing business sentiment assessment index‧企业资本支出预估‧企业资本支出预估‧Japan9Monthly and daily manufacturing industryPMI
10month3day(two): Japan9Monthly Consumer Confidence Index
10month5day(four): Japan invested in foreign bonds last week‧Last week, foreign investment in Japanese stocks
10month6day(five): Japan9monthforeign exchangereserve‧Japan8Monthly overtime pay‧同时指标月率‧Leading indicator monthly rate

Related news
日本首相安倍晋三宣布提前大选,称不会影响应对朝鲜问题
Bank of Japan7月会议记录显示委员希望保持现有政策框架



GBP pound - 英镑承压,受疲弱经济数据及脱欧忧虑拖累

英镑对美元下跌至三周低点,因最新的制造业调查数据以及近期的一系列数据显示,英国经济难以获得动能。英镑9月录得逾两年来最佳月度表现,投资者锁定利润,因越来越多的人感到英国央行对经济的乐观预期与经济数据表现出的不一致,以及执政的保守党召开党内大会存在隐忧。市场聚焦脱欧谈判,此前英国脱欧事务次官称,他希望欧盟谈判人员同意在10月推进磋商未来关系,虽然此前欧盟执委会负责人称需要发生“奇迹”才能继续推进谈判。周一发布的数据显示,英国9月制造业增长冷却,因成本压力增加。上周五公布的数据显示,英国第二季国内生产总值较上年同期增幅放缓至1.5%,经常帐赤字增幅大于预期。

英镑兑美元此前在高位区间横盘,下方低位大致处于1.3450,上周跌破此区后,料英镑将迎来一轮调整行情。若以近月的累计涨幅计算,38.2%and50%的回调水平为1.3310and1.3210Expand to61.8%Then it is1.31Horizontal. The estimated resistance above is1.33and1.3420,进一步则参考上月高位1.3656   

Estimated wave amplitude:
resistance1.3300 - 1.3420 1.3656
support1.3310 - 1.3210- 1.3100

Focus:
10month3day(two): UK9monthMarkit/CIPSconstructionPMI
10month4day(three): UK9monthMarkit/CIPSService industryPMI
10month6day(five): UK9monthHalifaxHouse Price Index


Related news
欧盟执委会主席:英退谈判就双方未来关系的讨论进展过慢
欧盟负责英国退欧事务谈判的首席代表巴尼尔:关于英国退欧的财务结算问题仍存在严重分歧



CHF Swiss franc - 避险情支撑瑞郎

技术图表所见,预计美元兑瑞郎下方支持先会瞩目于0.9540and0.95,关键则料为0.94水平,过去两个月已曾考验这个关口,至今趟亦暂见止步于此。至于向上需留意0.98关口,若后市汇价突破此区,则见延续近月涨势;较大阻力则会指向250Balance moving average0.9890To the extent that1.00Gateway.
        
Estimated wave amplitude:
resistance0.9800 0.9890 - 1.0000
support0.9540 0.9500 - 0.9400*

Related news
Switzerland9月投资者信心指数升至28
UBS Group(UBS)8月瑞士消费指标升至1.53
Switzerland9monthKOF领先成长指标升至105.8

Focus:
10month2day(one)Switzerland8Monthly retail sales annual rate‧manufacturingPMI
10month5day(four)Switzerland9monthCPI



AUD AUD - 央行维持利率于纪录低点,暗示在政策方面保持耐心

澳洲央行周二宣布维持隔夜拆款利率于记录低位1.50%不变,并暗示不急于追随全球央行的紧缩脚步,因澳洲面临通胀疲弱和本币坚挺问题。澳洲央行对薪资增长缓慢和强势澳元表示担忧。强势澳元增强了物价表现疲弱的压力。澳元兑美元随之下跌至两个半月的低位。澳洲央行上次降息是在2016year8月,旨在应对通缩风险。不过,消费者物价目前依然低迷,涨幅低于2-3%的该央行目标区间。但决策者并不支持提供进一步刺激措施。目前家庭债务处在纪录高位,相当于可支配收入的190%,增速超过薪资增长。澳洲央行担心,如此高水平的负债会伤害整个经济领域的支出。因此该央行仍不急于推高利率。利率期货市场暗示明年初升息的机率相当小,并预计2018年中之前将升息25个基点。那将会是澳洲央行自2010year11月后的首次升息。

澳元兑美元走势,自八月中旬低位0.7808至今的走势,图表上形成了一道短期上升趋向线,支撑位置处于0.7950,需留意若然失守,澳元仍呈下调压力,较大支撑则先会参考0.78水平。另外,若果以5month9Daily low0.7329至本月高位0.8125Calculate the cumulative increase in price,38.2%and50%的回调幅度会看至0.7820and0.7730,扩大幅度至61.8%Will reach0.7630。阻力可先参考2015year5Monthly high0.8164,下一级则看0.83and0.8380Horizontal.

Estimated wave amplitude:
resistance0.8170 0.8300 0.8380
support0.7800 - 0.7730 - 0.7630

Related news
ANZ: Australia9月经季节调整的整体招聘广告较前月持平

Focus:
10month4day(three): Australia9monthAIGService Industry Index
10month5day(four): Australia8Monthly retail sales rate‧Trade balance of goods and services‧Import‧Export
10month6day(five): Australia9monthAIG建筑业指数



NZD New Zealand dollars - 新西兰央行维持利率不变,对纽元的措辞有所软化

纽元兑美元周二承压,因一份调查报告显示,近期白热化的选举与选后的不确定性已经打击了商业信心。技术图表所见,相对强弱指标及随机指数均呈下行,反映着纽元正陷弱势发展。纽元本月初于200天平均线获见支撑,目前处于0.7145,将视为关键,若后市跌破此区,纽元将延续弱势。倘若以五月低位0.6818至七月高位0.7557的累积升幅计算,61.8%的回吐水平会看至0.71。而据顶部与颈线的相距幅度357点计算,下延的技术目标则可至0.6843。另一方面,上方阻力先回看50Balance moving average0.7320,关键阻力则指向0.75Horizontal.
        
Estimated wave amplitude:
resistance0.7230 - 0.7500
support0.7135 0.7100 - 0.6840

Related news
New Zealand8Monthly imports are49.2亿新西兰元,出口为36.9亿新西兰元
New Zealand8Monthly trade deficit12.4亿新西兰元



CAD Cad - 升息预期弱化,加元续陷弱势

美元兑加元走势,上周五涨至一个月最高1.2527,探试着50天平均线阻力,需留意后市若明确突破此区,将见美元兑加元仍延续着反扑动力。同时,10已上破25天平均线形成黄金交叉,预示美元中期走势仍偏强。上方阻力会回看1.26and1.2780,下一级留意100Balance moving average1.2820水平。预估下方支持为25Balance moving average1.2330and1.21水平,关键则会参考9Low at the beginning of the month1.2094
        
Estimated wave amplitude:
resistance1.2600 1.2780 1.2820
support1.2330 1.2100 1.2094

Focus:   
10month5day(four): Canada8Monthly trade balance‧Export‧Import
10month6day(five): Canada9Monthly job changes‧unemployment rate‧Employment participation rate‧IveyPMI

Related news
MARKITCanada9Monthly Manufacturing Purchasing Managers Index(PMI)Ascend to55.0


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Emperor Financial Group Zongheng Huihai Analysis Department
(The above column content is the author's personal professional opinions and is sincerely for readers' reference; I would like to remind readers that financial market volatility is unpredictable and they must be cautious of risks)
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