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【本文摘要】投资国际goldcrude oilHow to analyze the market trend? What do you think about the long and short positions of gold and crude oil today? How to recover losses from spot gold investment? How to operate gold crude oil in the short term? Where are the current resistance and support levels for gold? How should beginners invest in gold and crude oil? Will London gold continue to rise today? Will crude oil continue to decline? What recent news will affect the trend of gold and crude oil? What is the impact of the rise and fall of the US dollar on gold? Analysis of today's market trend of gold and crude oil and operational suggestions. Will spot gold continue to rise today? Will US crude oil continue to decline? How to operate international gold and crude oil today?
授人以鱼不如授人以渔,以小博大是投资的真正魅力,拿住有把握的利润是理财之根本!投资的本身就是一种对自身的修炼。不断的修炼,才能晋升为成功者的行列。想要走的更远,与谁同行才是关键,How far a person can go depends on who they have with them;一个人有多优秀,要看他有谁指点;
在这个市场博弈,讲究的是一个学习参与的过程和后期长期稳健获利的结果。一旦产生亏损,要及时总结原因出现在哪里,要让亏损的资金产生他的价值,我想,你每做一笔交易,有理有据的进场,且严格遵守这个市场的规则,在一个正确的引导之下,实现长期稳健获利的目标是很容易实现的。精准的走势分析,专业的团队技术分析,负责的指导老师,全程行情实时追踪,盈利离你还会远吗机会总是留给有准备的人,但同样也留给会选择的人真实的实力给你展示,切实的利润让你开心!如果你在投资路上遇到了困扰,找不到方向长期处在亏损中,不妨可以和王铭鑫聊聊,Success does not rely on luck, choice is greater than effort! May you know me from words, to character,Trapped in technology, long after kindness, finally character.
黄金资讯:
Wednesday(7month1日)现货黄金维持在1780美元上方窄幅震荡,金价周二突破1780美元,升至2012year10月以来最高水平,创下自2016year3月以来的最大季度涨幅。因全球疫情病例与日俱增,使得投资者对黄金的避险需求保持活跃。随着金价突破擦前高位震荡区间,令押注多头的交易受到鼓舞。长期以来被认为是对冲通胀和货币贬值工具的黄金,在多国推出刺激措施以支持受疫情打击的经济的推动下连续第三个月上涨。日内关注美联储6月纪要有关收益率曲线控制的措辞、美国ADP就业人数、以及6monthISMmanufacturingPMI。值得注意,如果金价持稳于1780美元上方,短期料测试1800美元大关。此外,还需关注美元的表现,美元在6月创下自去年12月以来最差月度表现。经济复苏的预期和美国疫情二次蔓延使得美元近期波动加剧,一旦市场消化了美国经济复苏的预期,需警惕避险资金再次流入美元,可能仍会限制黄金的涨幅。
Analysis of Gold Market Trend:
技术面分析;黄金昨日窄幅区间震荡,最高1775.minimum1765.60.High level contraction consolidation closing, daily chart harvest with small yin starsKLine. entityKThe line is too small, and the long and short continuity is insufficient. The daily chart is still in10Strong consolidation of high positions above the daily line. There was limited room for yesterday's pullback. Indicating short-term or bullish strength. Organize and accumulate momentum horizontally. Underneath backtesting not broken1747低点。日图维持看涨趋势不变。 王铭鑫从4The hour is undergoing a cycle of yin and yang conversion. entityKThe small size of the line causes the space to begin to shrink, temporarily after the large positive line, the starKLine organization and accumulation. At present, there is no room for a breakthrough. HoweverKIn terms of line structure, last week we retreated and held on1745Above all, this week, before breaking this level, the short-term trend is mainly bullish, especially4小时完成了下探回升的收复。短线局部停顿倾向整理蓄势上涨。留意后市再次的发力冲高破高,既然没有顶部止涨。横向整理就当作是空头的蓄势准备。所以综合分析操作上王铭鑫建议高空为主,低多为主,上方关注1788-1790One line of resistance, pay attention below1760-1758一线支撑。行情实时变化,添加笔者王铭鑫WeiXinNumber(ymsd06)Get daily market analysis, unpacking strategies, and guidance on medium - and long-term layout. We welcome like-minded individuals to come and have a long conversation!
原油资讯:
Crude oilfutures价格周二震荡微跌,处于横盘整理走势,投资者担心不断增加的新增病例将打击需求,另外,利比亚石油生产今年大幅减少后或将恢复,供应可能会增加;但API原油库存意外大幅下降,美国股市上涨,仍给油价提供支撑。OPEC 6月石油产量创至少20年最低,减产协议执行率高达107%; 路透一项调查发现,由于沙特阿拉伯和其他海湾阿拉伯成员国进行了额外自愿减产,石油输出国组织(OPEC)6月的石油产量降至20年来最低水平,这将OPEC减产协议执行率推高至100%以上,尽管伊拉克和尼日利亚未完全履行减产配额。调查发现,由13个成员国组成的OPEC 6月平均产量为2,26210000 barrels/Day5月修正后的水平低19210000 barrels/日。石油经纪商PVMofTamas Varga表示,“下半年需求料将回升,市场普遍认为OPEC+将会不负所望,在6Month and7月实现较高的减产协议执行率。
Analysis of crude oil market trend:
原油昨日小幅收高,整体空间不大,最低回测38.80附近启稳,尾盘时段一波放量冲高至40.0.不过延续性不足,冲高后重新回踩39.。最终收盘在39.50附近。日图收成小阳K线,收盘不算强势,只能算作是震荡拉锯,虽然抬出40.0高点,但是过程相对拉锯,周线触碰30周线后有所承压。周线继续在夹角区间整理蓄势。趋势看涨,但短线可能停顿修正需要一定时间。原油4小时由于空间收缩,K线形态相对收敛,连阴线回撤后单阳拉起,但延续性不足。没强势连阳,探高后收出上影K线,短线暂时还在区间中拉锯。谨防冲高后再走回踩确认。小时图布林道开始收口,昨日上探布林道上轨仍收在上轨之下,同时轻微收缩当中。目前亚盘暂时看不出区间,等待欧美盘确认震荡区间后以盘中为准,暂时走不出单边强弱延续。综合来看,今日操作短线思路上王铭鑫个人建议以回调做多为主,反弹高空为辅,上方短期重点关注40.8-41.0Frontline resistance, short-term focus below38.5-38.8一线支撑。对投资黄金、原油感兴趣却无从下手或者已经在接触却并不理想的朋友,王铭鑫WeChat :ymsd06Get more real-time investment information, market trend analysis, and trading strategy guidance.
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 withK线和成交量综合判断,价格不升不降不一定是坏事,是酝酿下一次的暴涨。关于今日的操作,本人将会在卫//letter( ymsd06)在线指导,同步龚重浩:王铭鑫 ,准确率百分之九十以上,王铭鑫 guidance(Every day, the Asian, European, and American markets provide timely analysis and direction), free guidance
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.
本文由王铭鑫(指导热线;ymsd06)Original submission, I interpret world economic news, analyze global investment trends, and have in-depth research on commodities such as crude oil, gold, and silver. Due to the latency of online push, the above content is personal suggestion. Due to the timeliness of online publishing, the suggestion is for reference only. Any operation based on this is at your own risk! |
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