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[paragraph]| 在今天白盘的走势中金价偏弱运行后欧盘期间回撤下跌,这比较符合笔者阮中人在今天给出的预期思路,因为日线上属于是围绕1290一线的低位盘整,那么在严格意义上来说趋势就偏强于空头压制,金价依然回撤跌下1287位置,触及本人布局的1294空单第一目标位,然后在美盘初请数据的刺激下再次抵达第二目标位1280附近,完美收场,gold目前下方1280依然是较强支撑位,就像crude oilof62-61.8位置支撑,所以后市继续看今天走出的区间震荡即可,重头戏在明晚的非农数据,敬请期待。 |
Market Review:
欧洲时段,美油宽幅震荡,仍守在近五个月高位62.99美元附近,数据显示原油库存意外增加,因石油输出国组织(OPEC)主导的减产和对伊朗的制裁收紧了供应前景,但美油或面临技术性调整可能。尽管美国原油库存大幅增加,但市场人士表示,随着全球供应趋紧和需求回升的迹象,油价料将上行。另外,印度央行降息以提振经济,降息和印度大选都是油价的支撑因素。欧洲时段,现货黄金下跌超0.6%, refresh3month7Since the low point of the day1281.45dollar/盎司,因美元再度上涨至97.3上方,受益于美国强劲的就业数据,另外,中美股市强劲,随着资金继续流入股市,黄金市场难以吸引投资者的注意力。就白银而言,其供需前景目前为中性,当黄金牛市全面展开时,白银的回报率会更高。目前就基本面而言,金价面临更多向下的可能性。
Gold market analysis:
日线图上看,隔夜日线小阴收线。目前处于短期线下方运行,5Japan and Japan10日均线仍偏向下运行,中期线死叉形成但方向混乱,MACDRun down,KDJ向下运行,指标看跌。黄金日线近期维持在短期线下方震荡颠簸没有方向,整体还是低位弱势震荡偏空格局,短期线仍然偏向下,中期线形成死叉这些是有利于空头不利多头的,所以行情想要结束下跌真正开始继续上涨预计还需要一些时间的,下方重点关注1280支撑,只要始终不跌破这里就可能筑底成功,若跌破1280将冲击1260支撑,然后企稳之后我们在进行布局中线多单,上方今晚看1288-1290The suppression of.
4小时低位震荡颠簸,目前处于短期线附近运行,短期线死叉形成但方向混乱,中期线向下运行,MACDRun up,KDJ向下运行,指标无方向。4小时短期维持低位震荡颠簸整体仍偏空,中期线仍然明显向下,并且间距还不小,所以距离行情想结束下跌或低位蓄势震荡转而开始上涨的时间预计还没到,近期反弹后还会受阻仍看回落探底,当然短期下跌明显放缓,行情更有可能维持低位区间震荡蓄势,之后进一步走出方向。今晚上方1288-1290压力附近受阻可以继续做空,下方1280附近企稳做多。目前均线开口向下空头排列。延续空单趋势,RSI进入超卖区间并且与5日均线相交。所有指标显示空头仍旧为短线主力。
Suggestions for Gold Operations:
1Suggest using1290-1292Consider short selling and stop loss nearby4US dollars, look at the target1286-1280Near USD;
2Suggest using1278-1280Consider going long and stopping losses nearby4US dollars, look at the target1285-1294Around the US dollar.
Analysis of crude oil market:
从日线上看,油价昨日收大阳线,布林带开口向上,油价运行在中上轨,均线多头排列,运行在k线下方形成支撑。油价继续向上发散中,移动平均快慢线零轴上方向上发散中,随机指标三线中部金叉向上。
4小时级别上看,油价出现8连阳k线形态,布林带开口向上,均线多头排列,运行在k线下方形成支撑。移动平均快慢线金叉向上发散中,红色动能柱持续放量中,随机指标高位出现放缓。原油在经历一周的横盘震荡之后,开始进一步的突破向上,重点关注62.8-63-63.3的压力突破,而当下整体是向上突破,所以整体看重点关注62支撑是否下破,如果下破整体空头空间就会打开,将可能出现大的下跌。
综合来看,今日午夜操作思路上阮中人个人建议以回调做多为主,反弹高空为辅,上方压力短期关注63.0-63.2One line of resistance, pay attention below61.4-61.6Frontline support.
Suggestions for crude oil operation:
1Suggest using63.0-63.2Consider short selling and stop losing near the US dollar0.4Points, target62.4-62.0Near the US dollar;
2Suggest using61.5-61.7Consider going long near the US dollar and stopping losses0.4Points, target62.3-63.3Around the US dollar.
(注意:以上建议仅供参考,文章具有滞后性和时效性,具体操作以实盘为准。投资有风险,操作需谨慎!)
Regarding the solution:
1.When tying in, according to chart analysis, if the purchased price is at a high level, the loss must be immediately stopped.
2.If the purchased price is in the middle range, you can temporarily observe and wait based on the current situation in order to unwind and exit, or reduce your position at high prices to reduce losses.3.If the purchased price is at a low level, there is no need to rush to stop loss.After the price of the purchased item stabilizes due to a decline, one should dare to replenish their position at a low level in important support positions, spread the cost, and rescue the high locked positions together in the subsequent rebound market.
4.If the price of the purchased item is in an upward trend, there is no need to stop the loss. Patiently holding it for a period of time will inevitably unwind, and there may even be a possibility of significant profit.
5.If the purchased price is in a balanced and volatile trend, there is no need to immediately stop losing. Be patient and wait for the price to enter a high level of the volatility cycle. Once the unwinding or loss is small, you should decisively leave the market and be eliminated.
6.If the price you are buying is in a downward trend, once it is confirmed that the downward trend has formed, you should immediately stop losing and never have illusions about gains or losses. Any hesitation or hesitation may result in deep confinement and difficulty in extricating oneself.
阮中人每天会在朋友圈更新趋势分析和操作思路,需要考察实力的可以去看,需要看建议的自行去看就可以了,觉得我帮不了你或者你有疑问你就再继续考察,免得耽误大家彼此的时间,毕竟时间是宝贵的,不是用来浪费的。 Wen/Ruan Zhongren |