Wednesday(11month27day)Late Asian Market, Spotgold略微走低,目前位于1460dollar/盎司附近。北京时间今晚投资者将迎来美国GDPandPCE通胀指标,预计将引发金价波动,此外,投资者还需警惕经贸突发消息。周二纽约时段早盘,受经贸乐观消息影响,市场风险偏好情绪升温,金价一度跌至1450.00dollar/盎司。但随着美元走软,金价展开反弹,纽约时段尾盘金价一度升至1462.80dollar/盎司。黄金价格在1450dollar/盎司附近止跌,上方阻力仍是1480dollar/盎司,宜关注1450-80dollar/盎司区域表现。
Wednesday Beijing time21:30,美国将公布第三季度国内生产总值(GDP)修正值。媒体调查显示,美国第三季度实际GDP修正值年化季率料增长1.9%,初值也为增长1.9%。在第三季度,强劲的消费者支出帮助美国经济超预期增长,暂时缓解人们对经济更普遍放缓的担忧。然而,若美国第三季度GDP数据意外下修,可能会令这种担忧重新升温。北京时间周周三23:00The United States will announce10Monthly personal income and expenses, as well asPCEThe index, as a preferred inflation indicator by the Federal Reserve,PCE物价指数的表现将受到投资者的高度关注。据显示,美国10Monthly personal consumption expenditure(PCE)Price index expected to rise at an annual rate1.4%The previous value is an increase1.3%; U.S.A10Monthly CorePCEPrice index expected to rise at an annual rate1.7%Last month was an increase1.7%。
Short line4小时一波下探回升收在中性偏高的位置,尾盘没能收低,使得隔日弱势难延续。而K线形态伴随一波启稳反抽。由于反弹空间略大,且收在了高位。今日短线强弱趋势有待进一步观察确定,相对于昨天的收低延续弱势。今日不排除会收高伴随惯性的冲高再回落。小时图目前暂时还处于1478.80And1473高点连接而成的小周期下行通道中承压。下行通道压力已下移至1465-1466.短线不站上通道压力之上,暂时还是看震荡,综合来看,今日操作思路上万杰理财个人建议高空为主,低多为辅;
Focus on resistance above:1463.27;1467.93;1473.28;
Pay attention to support below:1457.65;1452.09;1445.70;
Suggestions for Gold Operations:
1Rebound1463Stop loss without breaking short4US dollars, look at the target1453-1452;
2Callback1452Do not break long, stop loss4US dollars, look at the target1460-1462;
Steady order making, natural and steady profit flow:
It is inevitable that investing in gold will result in both losses and profits. Because everyone has different personalities and grasp of the direction of operation, some are radical while others are steady. This is related to one's personality. Every transaction requires planning and goals. This process is the process of risk management. Only by controlling risks can we talk about returns. In terms of operation methods, it is recommended to follow the trend and choose the ideal entry point. It is better to operate based on the principle of not doing anything wrong, and to control the position and strictly set stop loss, maintaining a good mentality in the market.