Thursday(11month21day)亚市早盘,由于投资者对贸易局势依然感到担忧,这令市场仍处于避险情绪之中。现货黄金今日跳空高开,一度突破1475dollar/盎司。北京时间周四晚间,投资者将关注欧洲央行会议纪要,预计将对欧元汇率产生较大影响。受市场避险情绪影响,现货黄金周四跳空高开近4The US dollar hit its highest point at one point1475.30dollar/盎司。随后略有回落,目前位于1474dollar/盎司左右。避险日元也走强。美元/日元亚市早盘最低一度触及108.39水平。假如金价突破1475.30dollar/盎司阻力,那么上升趋势预计将继续,在这种情况下,金价后市可能进一步上升至1487dollar/盎司阻力。
霆龙黄金技术面分析
黄金四小时线显示当前金价处于短周期技术指标支撑位价格上方,周三金价连续扩大日内跌幅显示出短期较强技术指标支撑位价格影响,四小时线呈粘合迹象,金价站上MA10Running above the daily moving average, the moving average system opens upwards,RSIIndicator station on the central axis50数值勾头向上,金价注意布林线中上轨运行。日内金价或延续偏震荡趋势维持。日线图分析黄金短线将继续保持震荡走高,守住MA10Daily moving average1465则反弹将会延续。短线黄金结构和技术指标支持多头,预期将延续反弹。综合分析操作上霆龙建议逢高做空为主。
As of11month15Day and WeekEIAIncrease in crude oil inventory137.9Ten thousand barrels, market expectations increase154Ten thousand barrels, increase in previous value221.9万桶,加上美国上周国内原油产量维持不变在128010000 barrels/日水平,总体利好油价,推动油价大幅反弹。中长线来看随着新能源的应用,以及环保意识的重视,油价需求或趋缓,而在供给端欧佩克、俄罗斯以及美国不太可能进一步减产,市场期待的12月份欧佩克峰会深化减产并不现实,总体施压油价。
多单:建议56.0Close in, stop loss55.5, Objective56.8-57.0;
空单:建议57.5Close in, stop loss58.0; Goal56.8-56.5;
投资黄金应该注意的有哪些:
1Control emotions - Investors must be calm and control their emotions. They must calmly respond to sudden changes in the market, otherwise they will miss out on opportunities due to indecision. It is best to be prepared to deal with various possibilities before entering the market, so that when encountering sudden changes in the market, one may not feel too surprised and at a loss.
2Starting with small-scale trading - For beginners in the market, it is necessary to start with small-scale trading, gradually grasp trading patterns and accumulate experience, and then gradually increase positions.
3Avoid being eager for quick success and instant benefit - there should be no desire for quick success and instant benefit in transactions. Investors should not enter the market based on their subjective desires in trading. Successful investors generally strictly separate their emotions from trading activities, and bear heavier risks based on the opposite market trend and personal wishes.