本周最受关注的,无疑是周三、周四分别出炉的美国6monthADPEmployment figures and non farm employment data. Currently, it is expected that the US job market will continue to improve, among which,ADPThe market expectation for employment is growth300万人,远高于前值的减少276Ten thousand people; United States6The expected increase in monthly non farm employment and unemployment rates is respectively307.4Ten thousand (previous value was250.910000) and12.3%(The previous value was13.3%)。
上周现货黄金先是维持震荡趋势,因市场不确定因素积聚,黄金缺乏明显的支撑寻求突破,周五,金价先是受挫回调,但因避险情绪的支撑,随后便V型反弹。下周来看,仍然需要继续留意疫情的变化,同时需要重点关注的财经事件是美联储主席鲍威尔的证词,另外一场“重头戏”就是非农报告,黄金走势或能从其中得到下一步的指引。现货黄金上周三金价一度触及1779.27dollar/Ounces, set a new record2012year10月以来最高水平。本周黄金价格收盘大涨逾27美元,涨幅达到1.6%。本周来看,如果没有更强大的支撑因素出现,金价走势可能会因获利了结意愿而展开回调。
金价于高位附近窄幅整理交投,日图MACDThe red kinetic energy column slightly narrows,KDJ随机指标转而走低,指示黄金上行动能略微削弱,接下来或于高位附近窄幅承压交投。从4From an hourly perspective, gold prices remain stable since8The pullback trend since the high point of the year, with the current closing of the Bollinger Bands and gold prices hovering above the medium track, is still a strong stage, and the first point of attention from above is the upper track1780Nearby suppression positions, followed by1785的压制位,破位继续看涨。不过短线还是有一定的回调需求,下方首先关注的支撑还是上周五的低点1747.62一线;郭哲函认为金价短线存在一定下行风险,但在失守日线布林带中轨1729.33附近支撑直线,长线仍以看涨为主。综合来看,今日短线操作思路上郭哲函建议以反弹高空为主,回调做多为辅,Short term focus above1778Frontline resistance, short-term focus below1762附近支撑。破位顺势跟进!
(6月份回本投资名额火热预订中,只剩1Please contact Guo Zhe in a timely manner for specific plan settings and funding details
6Monthly investment return plan:
①1Less than ten thousand US dollars: fixed daily2~3Strategy, to maximize profit margin for early stage capital accumulation, and develop risk control profit loss ratio based on specific capital volume!(Expected return on capital rate40%about)
②1-5Ten thousand US dollars: Operate with a relatively stable and conservative plan, as the amount of funds is not sufficient. The operation is mainly focused on stability, with short-term profits as the main focus, without any radical operations.(Expected return on capital rate70%about)
③5-10Ten thousand US dollars: Similarly, we use a robust operation based approach to operate. Of course, we need to allocate a relatively large position and adopt a method of combining short and medium lines for operation. We use the middle line to grasp the band profit and the short line to prevent profit withdrawal.(Expected return on capital rate120%Left and right)
④10More than ten thousand US dollars: We provide a self selected operation plan for operation,20%Configure short-term positions based on left and right positions,30%Long term position allocation for left and right positions, without leaving any band out, striving for the maximum return rate! to configureVIPRisk control greatly improves the value preservation of funds, maximizing returns while reducing risks!(estimate7Arrival in month200%Left and right profit targets)! ​
作者赠言:你拿出诚意,我拿出实力,我们一定能成为良师益友!三分师徒,七分朋友,郭哲函与你同行!
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