Tuesday(6month30日)亚洲时段,美元指数走高至97.6附近,美元兑日元五连阳,日内亚洲股市大幅反弹,隔夜恐慌指数大降,而6月份中国制造业采购经理指数(PMI)For50.9%, up from last month0.3个百分点。由于英国脱欧相关的不确定性持续存在,英镑表现弱势,跌向一个月低位水平。黄金依旧围绕在1770关口附近波动,日内日本工业生产数据不佳,但中国制造业数据向好,显示全球经济复苏充满不确定性。
除了大小非农之外,还有大量经济数据将要出炉,相信可以帮助投资者了解全球制造业、服务业、通胀等各个方面的状况:制造业&服务业数据包括:中国、美国、欧元区、法国、德国、英国6Monthly manufacturing and service industriesPMI,通胀数据包括:德国6monthCPI初值、法国6monthCPIMonthly rate, Eurozone6monthCPI年率及月率、瑞士6monthCPI月率,贸数据包括:美国5月贸帐、欧元区7月季调后易帐。
原油技术面来看,原油昨日下探回升收高,最低回踩37.50Steady recovery, hold on37.0Low point rebound to recover lost ground, while recovering in the late trading session39.30High point. The daily chart shows a positive line in the harvest, recovering some of the previous losses and closing at39.30Above. Reconnect the perimeter30Near the perimeter. Short line4The hourly low rebound failed to continue the correction of the second wave, while the consecutive positive rebound closed at39.30Above, the small periodic structure steps down the channel. Start stable in37.0Above. This week's thinking needs to be adjusted appropriately, relying on37.0Defend at a low point and take a pullback, but the process is expected to be volatile and circuitous. fall drastically37.0It will deepen the adjustment space. At present, we have already shaken off a certain distance from the low point and have also broken through at the same time39.30.短线相对偏向多头,但是考虑到周线处于夹角区间当中,暂时走不出单边。故日内短线先看区间震荡。留意能否蓄势突破,不破则会继续在高位震荡拉锯。综合来看,今日短线操作思路上本人个人建议以反弹高空为主,上方短期重点关注40-40.2Frontline resistance, short-term focus below38-38.2Frontline support.
Latest operating recommendations for crude oil:
1Suggest not to break40.0-39.9Short on the front line, stop loss0.4US dollars, look at the target38-37.8frontline;
2Suggest not to break38.0-38.3Long on the front line, stop loss0.4US dollars, look at the target39.8-40frontline;