技术上;周线级别,金价自五月底以来已经连续五周上涨,累计上涨逾130美元,短线需要提防高位震荡调整以及回调风险,关键支撑关注1393美元,入在此下方收线,将消减多头力量,将有去向2016Annual high point1375强劲支撑的位置的动能,不过只要金价坚守在1366上方,则中长线仍偏向多头;上方进一步较强的阻力仍是关注在2013year8Month high point1434dollar/Around ounces.
观点上,但经过早盘的冲高回落及缺口的影响,短期在1400附近需谨防反复策略的风险,另外由于KDJ逼近超买区域,下方需要提防金价回踩1375附近支撑的可能性;进一步支撑在1Month high point1366附近支撑,若意外回落至该位置下方,则增加见顶信号。
不过,目前黄金已经突破2016年以来压力线,完成了大型三角形整理,并且现在已经突破1400,所以后市的进一步上行空间已经打开。加上MACD形成金叉后上行动能增强,也支持看涨前景。回调下方关注1390、1380等支撑水平,但回调也将是更好的逢低做多机会。若继续走强,近期上行目标关注2013year8Monthly high point1434as well as1450等水平。
3、避免急功近利——In transactions, one should not have a desire for quick success and instant benefits. Investors should not enter the market based on their subjective desires in trading. Successful investors generally strictly separate their emotions from trading activities to avoid the market trend being opposite to personal wishes and bearing heavier risks.
4Be ready to accept failure at any time——Gold investment carries risks, and trading failures are inevitable throughout the entire transaction. It is also an important way for investors to gradually learn from lessons and accumulate experience. When faced with investment failures, investors can only gradually improve their investment ability, avoid risks, and strive for profits by carefully summarizing.