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forest:10.9黄金突破先多,原油EIA能不能助力起飞?

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  最新公布的美国PPI指数意外录得八个月来最大跌幅,周一晚间,现货白银持续拉升,日内涨2%; goods in stockgold也涨近1%,日内拉升20美元。随后虽然涨幅有所回落,但仍收于1500upper.


  在汇市方面,美元指数无视表现不佳的PPI数据,依然延续涨势,并刷新日高至99.257;非美货币货币集体下挫。


Tuesday(10month8day)受贸易争端加深的影响,油价周二收在接近两个月低点,尽管伊拉克和厄瓜多尔的动荡局势为crude oil价格提供了一些支撑。截止收盘,WTI 11Monthly crude oilfuturesClosing down0.12USD, decline0.23%Report52.63dollar/Barrel; Brent12Monthly crude oil futures closed lower0.11USD, decline0.22%Report58.24dollar/Bucket.


  伊拉克和厄瓜多尔因经济不佳而进行的示威活动,可能干扰这两个石油输出国组织(OPEC)成员国的产量。瑞银(UBS)石油分析师Giovanni Staunovo表示,市场关注的焦点仍是贸易紧张局势和石油需求方面的担忧,而忽视了中东地缘政治紧张局势的升级和9monthOPEC产量的下降,日益增长的衰退风险限制了油价的上行空间。今晚关注22:30公布当周EIACrude oil inventory.


  2019.10.9周三产品分析预测


  
德指(12Contract)



Pressure12230 12160 12120 12110 12080 12045


Support11905 11890 11830 11780 11595


  
策略参考:



  12030-12045Empty, stop loss20Point, stop profit11910-11890-11830


  12070Empty, stop loss20Point, stop profit11910-11890-11830


  
Crude oil(11Contract)



Pressure55.60 54.90 53.60 53.05 52.70


Support52.00 51.10 50.30


  策略参考:


  52.70Empty, stop loss53.10Stop surplus52-51.80-51.15


  53.60Empty, stop loss54.10Stop surplus52-51.80-51.15


  
Gold(12Contract)



Pressure1543 1518 1515.5
​

Support1505 1500 1497 1490 1478


  策略参考:


  1505-1508Multiple, stop loss40Point, stop profit1515-1520


  以上内容供参考,文章具有滞后性,实盘中策略按照实际情况进行指导修正,投资有风险,入市需谨慎。套单锁单操作不理想可与本人沟通交流


  ①稳健建仓,规划好持仓,盈利不多持!


  ②严格带止损,资金小不重仓,宁小损不锁仓,不放大止损!


  ③严格按照进场点位,顺势操作,盈亏比至少2:1以上!


  ④不犹豫,稳跟稳做,有单敢做,有行情敢持,错判立损!


  笔者:森林MACD1008
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