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临近美国第二轮伊朗制裁,crude oil供应面忧虑情绪攀升,同时美加达成贸易协定也很大程度上改善了市场风险情绪,对原油等风险类资产带来支撑。伊朗伊斯兰革命卫队10month1日发布消息称,他们已对叙利亚的“恐怖主义”总部发动导弹袭击,以对其曾于9月袭击伊朗城市阿瓦士一事进行报复。伊朗对油价构成的上行风险不断升高,而当前市场上能够对油价构成威胁的因素并不多,美国原油库存成最大不确定因素之一。上周美国原油库存增加,因炼厂进行季节性设备维护而大幅减少产出。EIA数据显示,炼厂原油加工量下降90.110000 barrels/日,产能利用率下滑5Percentage points to90.4%, for5月以来最低。可见,炼厂活动的下滑幅度相当大,说明设备维护季已经进入高峰。本周美国库存数据依然值得关注。
【10month2Analysis and Layout of the Nikkei Index Market
恒指半个月前突破四小时布林带中轨上方,到现在就一直持续在中轨上方行走,也没能突破上轨,日线也已经形成多日震荡,持续一周一阴一阳,目前来看恒指的整体趋势已经变转空头,小时线以及四小时KDJ都交叉往下,今日只需看突破四小时中轨支撑位置,则可以直接拿大利润空单,做空为主。
1Suggest to use1190-1192Multiple entry nearby, target1200Stop loss4dollar
【10month2Analysis and Layout of Japanese Crude Oil Market
原油周评给出策略回落72.90-73区间不破多单进场,目标75,昨日依旧完美止盈,反弹高位75.77,突破年内新高,日线周期整体都是上涨趋势,目前来看多头依旧占优,小时线超卖短期会有休整,建议看回落做多为主。
​ 1Suggest to use75.10-75.30Multiple entry nearby, target76美元一线,止损0.4
【10month2Analysis and Layout of Japanese American Copper Market
铜昨日来看反弹高位之后没能企稳再次回落,四小时首先则依旧回落到中轨下方,日线整体情况下跌,目前小时线KDJ交叉向下,短期来看反弹做空为主。
1Suggest to use2.7900-27950Short selling nearby, target2.7600Stop loss0.01
做投资最重要的三点:一是要懂得分析市场的一个行情;二是要懂得控制风险,作为一个投资者要有着良好的心态及正确的投资观念,3: The light position operation strictly stops profits and losses, and the direction is reversed. Stop losses in a timely manner and do not resist orders because our funds cannot withstand market conditions even if they are large. Positive people see an opportunity in every crisis, while negative people see some kind of crisis in every opportunity; Faced with volatile market conditions, we must seize every opportunity. Seizing an opportunity is equivalent to seizing tomorrow!
writing/Ling Zhi Lun Jin