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每到了深夜,市场上总会有很多投资朋友无法入睡,不是不困,也不是失眠,只不过是手中还有单子,在出与不出,多空之间纠结,徘徊。作为一名分析师,我深深能够体会到你们的那颗焦急的内心和渴望帮助的眼神,所以经常凌晨不休息的发文章,只为茫茫网海中有缘见到文字的朋友送去一份帮助和希望,虽然你们不是我的实仓,虽然我们素昧平生,但是我们都在做投资,而我的责任就是为你们解疑答惑,降低风险,我是郑辅鑫,只为你做最精准的分析布局和风险把控。理性和睿智才是投资市场生存的基础。希望咱们一起在这个市场中越走越远,你在我就在!你赢,I accompany you to conquer the world,看一场盛世繁华;你输,I'll accompany you around,伴你东山再起。
gold日线方面:金价暂时呈现窄幅整理交投;中线留意布林线轨道1474-1523Regional breakthrough situation; Short term attention1478-1500区域突破情况,分别是近一周的低点支撑和高点阻力。目前MACD死叉,绿色动能柱不变;KDJ死叉,随机指标趋于走平;指示黄金日图下跌动能暂缓,接下来可能继续陷入一段时间的窄幅整理交投。由于金价守住了布林线下轨支撑,若顶破布林线中轨1498附近阻力,则增加短线看涨信号;若金价跌破周三低点1477附近支撑,则增加短线看空信号。
从技术面日线上看,原油自上周初从高位54.91倒V回撤后小幅上涨,周五一度冲高54.6受阻于布林带中轨,再次上演冲高回落,盘中由涨转跌;4小时上看,原油再经过长周期的51-54区间运行后转为52-55区间运行,当前布林带处于开口期,MA5日线向下弯钩有形死叉迹象,KDJ随机指标三线并拢死叉向下,MACD指标顶背离,快慢线即将死叉,原油会延续52-55区间运行,本周一重点关注英国议会脱欧协议对市场影响。综合来看,日内短线操作思路上郑辅鑫口末亻言zfx8665My personal suggestion is to focus on a pullback and buy long, supplemented by a rebound at high altitudes, with a short-term focus above54.6-54.8Frontline resistance, short-term focus below52.8-53.0Frontline support.
Suggestions for crude oil operation:
1The rebound above the crude oil does not break54.6-54.8Short on the front line, stop loss0.4US dollars, look at the target53.8-54.0frontline;
2The downward correction of crude oil does not break52.8-53.0Long on the front line, stop loss0.4US dollars, look at the target53.8-54.0frontline;
套单是怎么形成的呢,其实大多是源自于投资者的心理:
1、短单变成长单,长单变成锁单,锁单变成爆仓单
2、从不认赔,逢低加仓,最后爆仓
3、明知错了,心存侥幸、期盼奇迹,最后爆仓
那么套单一旦形成,我们应该做怎么样的处理呢?
一、根据手中的持仓状况,作如下处理
1Investors who are slightly trapped can use the rebound market to unwind and exit, or reduce their positions when they encounter high prices;
2Investors who hold onto high positions can also take the initiative in psychological and financial aspects in the next wave of the market by reducing their positions at high points.