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There are choices everywhere in life, and choices are also faced everywhere. When you enter the supermarket and face a dazzling array of products, you can't buy everything. You always choose based on what you want; When faced with a long and short choice, it is always difficult to choose because there is no right or wrong answer to this question, because no matter which one you choose, it may make you regret it; When faced with critical decisions time and time again, one must think twice before making a choice,
Because we always want to choose the right one, how do we choose the right one? As the saying goes, if you don't think twice, you will eventually fail, and if you can endure a hundred times, you will have no worries. One person calculates the short, two people calculate the long, and those in charge are confused, while those on the sidelines are clear. Perhaps you are highly skilled, but have never been able to grasp the expected benefits. Have you ever thought about needing a partner to help you plan and strategize, and a "bystander" to help you get out of your way!
从近期走势来看,gold的后市是有迹可循的,昨日黄金暴跌布林线开口,上方阻力位上移至1222附近,黄金整体趋势为震荡下行,回顾一周走势黄金目前就是反复的反弹反复的走低,目前黄金受美指影响较大,然而近期美元不论是国内经济上看,还是国际形式上看对美指都是起到提振作用,而美指的大幅度暴涨使黄金昨日试探前期低点1204关口并突破成功,所以昨日黄金跌破1200也是顺势而为我们的第一目标1190一线也于14日凌晨达到。从近期整体上看目前黄金还是空头趋势,下探突破至1180一线还需要一次数据或美指的推手,故而操作上凌志论金建议大家不要忙目抄底,对于下方目标则看向1180Near.
目前黄金已来到1年半以来低位附近,同时从技术指标上显示,目前黄金处于极度看空。KDJThe indicator has now fallen to an oversold level, but the decline has not slowed down,RSIFurther decline, approaching oversold areas.MACD的走势也极为疲软,下行动能也正不断扩大。从4小时线上看,金价盘中跌势暂缓,但是整体走势以及较为疲软,金价目前的震荡区间较为狭窄,市场正在等待晚间美国零售销售数据。金价短线仍面临较强的下行风险,周二金价冲击1200The US dollar level failed and subsequently fell,KDJThe indicator has now turned down again, andRSI则承压于中轴下方,技术指标消极,暗示金价或进一步下跌。综合上述:黄金操作凌志论金建议1190Short selling on the front line, looking down at the target1184,破位看低点1180First line, stop loss4dollar
凌志认为:若此次“恐怖数据”录得好于预期,将再次提振美元,不排川普政府或将干预汇市的可能。此前川普曾连续两日批评强势美元及美联储升息,在美元冲破96大关,不断逼近97水平之际,市场需警惕川普的意外“出手”。
从日线上来看:近期每次在日线放量下跌后,都是反弹修正的过程,只是反弹力度还有待观察。但趋势的力量还是不能忽视,上方阻力仍关注67.2附近,而目前已经临近下方支撑位,在未破位之前,还是坚信低位反弹,4小时来看,油价有反弹的迹象,震荡偏多。
从四小时线上来看:行情走出一阴下探,一阳收复,K线轻微止跌回升,短线反复修正过程,并且表现有点抗跌,同时布林带处于收口状态。昨日crude oil触及下轨受到支撑走回升,而空间也集中在美盘时段,短线预计还是震荡的机率较大。综合上述:原油后市操作凌志建议不破64.60Long, target65.50First line, stop loss0.4
对于原油多单被套的点位来说:本周一原油在经历暴跌暴涨后基本套单不大,无论多空都可以出来,油价呈现的是V型反转的波动幅度;周二油价在反弹受阻67.80/68.47的压制下继续开启暴跌的趋势,相信在67.80Nearby and68.20附近肯定有追多被套的投资朋友。下面凌志论金针对这两个原油多单被套的点位进行解套,希望大家可以参考解套。
For crude oil67.80附近的多单解套思路:目前来看套了200个点左右了,解套并不难。凌志建议如果你仓位不重,可以等待原油反弹67.14-67.25附近减仓或者止损出局,反手进行高空,利用空单利润去弥补多单被套的损失。
For crude oil66.20附近的多单解套思路:目前来说套了150个点左右了,被套150多个点还扛着,相比你的仓位资金应该比较大,解套上李拥诚建议回调下方66.08-66.28区间进行补仓低多去拉均价,等待原油反弹66.80/67.30附近依次减仓小损出局即可成功解套
如果你存在原油多单被套,对于多单解套上无从下手,不妨可以带着套单的点位找到凌志论金进行寻求帮助,我需要了解的你仓位闲余资金和被套的点位进行入手解套。
​强调:现货市场不同于其他金融投资,对于消息面的拿捏相当重要,没有专业的人分析消息,没有相对的技术分析水平,贸然入市,有几个散户不亏损的?但是亏损后要找到办法,失败是成功之母,其实大多数人做生意做投资都没有一开始就成功的,我相信包括现在看这篇文章的你,在做生意的开始阶段一定是饱受现实的摧残,后来因为自己花足了心思研究如何把生意做好,通过不段的吸收新的信息,不断的吸取他人建议,不断的学习,才有了你现在的成就。同样,做现货投资也是,没有一入市的常胜将军,只有在不断的盈亏过程中,自己反省,总结出自己的不足,进而改正才是最重要的,The market is not scary, what's scary is that you fear it.
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