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6.12黄金最新走势操作策略,严格稳健出局忐忑做单必然亏损

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  最近总有客户问我这样一句话:“为什么我找你咨询行情过后,你不象别人一样来盯我?”我回答他说:“我从不强买强卖,你要明白一件事,做投资,资费是你的,保障是你的,万一赔钱也是你的,最后赚钱也是你的。你遇到问题需要解决,作为一个负责人的老师都会帮你先解决问题,合作看缘分,投资永远是留给有规划、有责任心的人,我的时间也只留给信任我的有缘人!其实你跟不跟我做投资,对我来说就是少一个客户而已,可是对您来说:拒绝选择优秀老师的同时就是选择了自己承担风险!一次正确的选择胜过无数次盲目的投资。

  

 

  

  6.12goldMarket trend analysis

  

Spot gold(6.11)昨日价格先承压1740回撤至下方预期的支持区域1722-20,晚盘行情出现一波异样的上拉动作,一度欲测试1745压力,但并未能构成有效突破,随后行情如期再度展开回落调整,再度下探1722一线,最终日线收得一阴线。昨日失业金人数事实构成大利空的因素,但是美国市场悲观情绪递增,股市大跌,引发恐慌指数增加,黄金避险买盘不断增加,所以导致黄金不跌反涨,

  



  黄金技术面来看日线结构上,昨日虽收阴,结束连续3日连阳的异样上涨,但是最终行情却依然处在均线带上方运行,这也就依然摆脱不了短线行情的不确定风险。因为按照周线以及日线结构,1722-20争夺对于周线以及日线级别都是非常重要的,而隔夜行情虽冲高后回落,但是并未破位1720,虽然技术上还是有进一步看跌破1720的可能,但是基本面李浩宇黄金,所以也要防范行情再度异常坚挺的风险。日内下方继续重点关注1722-20争夺,一旦破位此支撑,那么趋势上的调整或将展开,短线4小时走势来看,价格昨日冲高之后开始处于回落,目前在中轨上方运行,但是KDJ三线向下发展,MACD粘合,油死叉迹象,红色动能柱缩减,价格油回落的趋势,综合来看今日操作上面建议高空低多,上方关注1740-45Pressure, following below1720Nearby support

  

  6.12Suggestions for Gold Operations:

  

  1Rebound1740-1745Short nearby, stop loss1750, Objective1720Nearby;

  

  2Falling back1720附近不破做多,止损1715, Objective1730上即可,破位参考1707进场。

  

  6.12crude oilMarket trend analysis

  

Crude oil(6.11)昨日也如预期38.5附近压力回落调整,晚间受到市场恐慌情绪递增以及股市大跌的影响,且跌幅加大,跌破了预期37分水岭,同时破位36强支撑。日线收得阴线一根,整体趋势拉入回调阶段。

  

  原油技术面来看,日线上昨日价格破位两个支撑位,目前将价格拉入回调的节奏中,当前基本面没有更多利好原油的消息,不排除短期见顶的趋势,技术面上回调节奏已经开始,均线度处于空头排列,短线4小时来看,当前价格持续在MA5日线之下运行,KDJ三线有拐头向上的趋势,但是未形成多头的趋势,MACD继续死叉向下,上方关注前期的支撑位转换成的均线压力位,综合来看,原油短期操作上还是建议高空低多,上方一次关注36压力位,防守在37也是短期方向的分水岭,下方位则关注前期的支撑转换位34,破位可能加剧看向下方31Nearby;

  

  6.12Suggestions for crude oil operation:

  

  1Rebound36上方依次建仓做空,止损在37Go ahead, look at the target34Nearby;

  

  2Falling back34Do not break long, stop loss33.5, look at the goal36附近;破位看到31

  
GoldKLine theory:

  

The theory of relative position is goldKThe second largest theory of line theory. As the saying goes, oranges born in the south are called oranges, which are sweet and sweet;Born in the north, it is bitter and astringent, known as trifoliate orange. The same seeds, grown in different environments, have vastly different results. Same, exactly the sameKLines, if placed in different relative positions, have a completely different guiding effect on the future market.KThe position of the line is crucial for analysis and judgmentKLines are extremely important. goldKThe theory of relative position of lines includes the following two meanings:




UsuallyKThe position of a line does not have an absolute high or low point, so we can only use relative position to represent it. This depends on an individual's judgment of the market height and requires a certain level of understanding, but we must make a simple distinction. It is generally divided into three positions: relatively high, relatively low, and halfway up the mountain. Because high and low points are not absolute, there is no need to overly demand accurate positioning, just give a rough distinction.

  

It is generally divided into three types: upward trend, downward trend, and consolidation trend, also known as upward channel, downward channel, and horizontal consolidation. At a relatively high levelKSpecial attention should be paid to analyzing whether the main force needs to wash the market or if there is a change in the overall situation, and the main force needs to ship at a high level. Generally speaking, the main force washing the market will fluctuate sharply downwards, making it easy for people to be deceived;However, if the main force wants to ship at a high level, it will be very gentle, giving people a feeling of needing to adjust at a high level and continue to hit higher peaks. By observing and calculating the inflow and outflow of the main force's funds, it can be found. Nine out of ten retail investors compensate for this reason, always being deceived by technical data and confused by the main force. Relatively lowKGenerally, the line falls to a certain extent, so there will be a relatively low level, but whether the incoming buying is awesome depends on the subsequent trend. Low position long and short positions are usually fought back and forth, whenKThe smaller the amplitude of the line, the more reasonable the price range has been organized. At this time, the normal trading volume will be relatively low. If there is a continuous upward or downward long lead or cross star, and the trading volume starts to rise, it indicates that the market is about to change. At this moment, it is necessary to constantly pay attention. If the main funds are continuously entering but the price fluctuates little, then buy decisively, When the main force builds up their positions, they will give up suppressing prices and turn to aggressively entering the market to start pulling up, usually starting with a bullish candlestick. A sharp rise in prices is relatively important, but it should be combined withKBased on a comprehensive assessment of the line and trading volume, whether the price does not rise or fall is not necessarily a bad thing, but rather the preparation for the next surge.

  

Fund management is one of the core contents of trading systems, and its essence is risk management. The core logic of financial markets is that potential returns are equal to risks. Pursuing higher profit goals will inevitably face greater risks. Trading is valuable in the long run, and trading operations should pursue a balance between attack and defense. All positions and significant losses are the result of heavy attacks and light defenses. Fund management mainly involves building positions, stopping losses and profits, increasing positions and reducing positions, and so on. Here is only a brief explanation of warehouse construction. Assuming you use a1000Using USD accounts for international gold trading(XAUUSD)Margin trading, current market price is1390USD, you are considering setting the stop loss at a new high and then moving back to the previous low1381Below the US dollar1380On the position of the US dollar, the target price is considered to reach a new high1440Below the US dollar, per transaction2%Loss rule (usually recommended for classic trading)1-2%(Small funds can be adjusted accordingly), what is the amount of loss you can bear20USD(1000USD x0.02)In this way, you can only pay the market price1390Establishment of US dollars0.02Buying multiple positions by hand(20÷10)The profit and loss ratio is approximately5:1. If you use1385Set a price limit for buying orders in US dollars, and positions can be set0.04Hand(20÷5)Profit loss ratio1:10Left and right. Of course, you can also adopt the fixed position method, using a secure fixed position for each order placed over a period of time.



  本文由黄金分析师王铭鑫独家策划,感谢广大读者对笔者文章的喜爱和支持,希望大家能从我的文章中有所收获和感悟!因文章撰写和上传具有延时性,仅供参考!王铭鑫薇/Letter(ymsd06)For gold/Investors who feel that investing in crude oil is not going smoothly or want to learn how to read and analyze the market can contact me
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