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preface:
此刻的你还在到处看文章找策略吗,不知王铭鑫每日及时给到你的现价单你关注了多少呢?每天的多空是否让你犹豫再犹豫,一单损完又害怕下一单。如果你还在迷茫犹豫的道路上,不妨可留意下王铭鑫的文章以及圈内策略,一天你可能看不出什么,久而久之你肯定能得到你所想要的。(有缘认识是一种缘分,加我也不会让你损失什么,先看实力再谈合作,你赢我陪你君临天下,你输我陪你东山再起!)
What are the recent news impactsgoldcrude oil走势?黄金后市如何稳健布局?
Friday(7month10日)金价盘中下跌,一度较日高回落逾16The US dollar has reached its lowest point in the past two days1794.24dollar/盎司。本周三,金价涨至每盎司1818.02USD, setting a new record2011year9月以来的最高水平,但随着股市走强、以及周末的到来,获利了结盘使黄金失去了一些动力。尽管金价收盘于1800关口下方,报1798.70dollar/盎司,但累计上涨1.3%以上,连续第五周收涨。金价周三涨至每盎司1818.02USD, setting a new record2011year9月以来的最高水平,但随着股市走强、以及周末的到来,获利了结盘使黄金失去了一些动力。
下周需要关注的一些重要数据发布包括周二的美国6monthCPI、周三的美国6月工业生产、周四的美国零售销售、周四的欧洲央行利率决议、周四的美国初请失业金人数以及周五的美国营建许可和6月房屋开工。从下周开始,另一个值得关注的关键因素是美国企业财报季,该季可能呈现出黯淡的经济前景。“尽管全球股市在上个季度忽略了全球经济状况的恶化,但下周美国财报季开始时,算总账的时刻可能就要到来了。与上一季度的数据相比,第二季度的业绩将在更大程度上暴露出新冠大流行的影响,这可能会被证明是华尔街业绩最差的季度之一。
今年下半年,不确定性与超宽松货币流动性环境仍会对金价有一定支撑。从趋势看,全球疫情与经济形势仍不容乐观,并且可能对美国下半年政治选择等产生连锁反应。目前,美国经济前景面临风险,高失业、低通胀的情况下,美联储将维持超宽松货币政策环境,直到美联储确信经济稳定地处于复苏轨道。这种不确定性环境与流动性泛滥环境仍有利于黄金等金融资产,这就是为什么4月份以来,美债、美股、黄金等资产同步上涨。美联储下半年可能加强前瞻指引,基于对美联储放鸽的押注以及美国疫情反弹的事实,可能仍将利好黄金近期走势。从中长期来看,全球经济复苏与通胀表现将影响黄金走势。
  刚入市黄金的朋友可能会因为工作、生活等问题无法获取国际市场第一新闻或消息,这对咱们做黄金来讲是很大的困扰,所以王铭鑫欢迎做投资的朋友找到我一起共同交流与进步,让各位随时随地第一时间知道国际市场动向,做最稳健的单子。指.heat conduction.Line(ymsd06)
下周一黄金行情走势分析:
黄金技术面分析:本周以来,现货黄金每日以单边20+点的幅度向上拉伸,在突破1800水平关口后并没有出现恐高跳水的情况,市场上买盘强烈,投资者普遍看好牛市的到来,黄金的避险属性显露无疑。从日线上来,金价突破楔形整理上边缘后强势拉升,箱体震荡整理区间再次向上抬高,日线三连阳拉升并突破1800重要关口预示后市还有更大的空间,目前MA5Moving average support1790frontline,MA10Moving average support1784一线,这便是现在的重要防守点,我们依然用单边的思路对待换算金价运行的空间,先确定下来现在的低点(或高点),下一步的交易计划就会明确。
4小时来看,布林带依然处于开口状态,各均线指标多头排列, 但由于金价高位加速放量,目前KDJ随机指标出现死叉信号,MACD红色能量柱减弱,短线面临着回撤的风险。综合来看,下周一黄金短线操作思路上王铭鑫建议高空为主,低多为辅。上方关注1810-1815One line of resistance, pay attention below1790-1785一线支撑。行情实时变化,策略仅供参考,实时进出场点位及中长线布局咨询王铭鑫( ymsd06)Get it for free!
Next Monday's Gold Operations Strategy Reference:
Empty order strategy:
Gold rebound1810-1812Short (buy down) two tenths of a position nearby, stop loss5Points, target1800-1795Nearby. Break the position to see1790frontline;
Multiple order strategy:
Gold Callback1790-1792Nearby long (buy up) 2/10 positions, stop loss5Points, target1805-1810Nearby, break down and take a look1812frontline;
体验福利:凡是有意向咨询合作的散户朋友,便于后期合作互相信任,添珈笔者:ymsd06You can experience one-on-one real-time ordering service with screenshots of your actual warehouse, and you can choose whether to cooperate based on your earnings in the future! I believe this welfare is a good opportunity for investors who have suffered long-term losses and lost confidence in the market!
下周一原油基本面及技术面分析:
原油消息面解析:国际能源署(IEA)公布的月报称疫情复苏将危及石油需求复苏,病例数不断增加给市场前景蒙上了阴云,使原油需求倾向于下行。IEA月报指出,OPEC 6月原油产量降至近30年来低位的221910000 barrels/日。预计美国5月石油产量较上月减少13010000 barrels/Day,6Monthly decrease5010000 barrels/Day. expect2020年炼油厂产量将减少64010000 barrels/Day,2021Annual increase47010000 barrels/日。尽管许多分析师预计经济和燃料需求将从疫情中反弹,但由于全球最大石油消费国美国感染病例每天创纪录的增加,引发了市场对复苏步伐的担忧进而打压油价。
原油技术面分析;原油日图布林道依旧收缩压制。而K线实体较小,暂时看不出多空量能,短线依旧在整理蓄势当中。日图等待实体K线的突破,当然从回调空间来看,还是倾向空头整理代替反弹修正的下行走法,毕竟反弹空间受限。
crude oil4小时守住布林道上轨连续向上轨冲击,而布林道开始抬头向上,冲击上轨的次数增多。虽然没有顶开,但是连续三个交易日都收在高位,而回测低点在抬高。使得向上突破的机率在加大,但时间不定,毕竟日线整理时间过长。不排除继续这样整理过渡,小时图考虑到低点支撑在下移。日线布林道上轨处的压力,若是继续受压,则仍是震荡格调。伴随冲高回落回归区间震荡的走法,未突破前不宜看高,先看区间内震荡。综合来看,下周一原油短线操作思路上王铭鑫建议高空为主,低多为辅。原油上方关注41.0-41.2One line of resistance, pay attention below39.0-38.5Frontline support.
下周一原油操作策略参考:
Empty order strategy:
Above the rebound of crude oil40.8-41.0Short selling nearby(Buy down), two tenths of a position, stop loss0.5US dollars, look at the target39.5-39.0Nearby; Dislocation38.5Near.
Multi order strategy:
Below the crude oil pullback38.3-38.5Nearby long (buy up), 2/10 positions, stop loss0.5USD, target39.5-40.5Nearby; Dislocation41.0Near.
以上内容仅供参考,每一天朋友圈都会给,关注的朋友推送我对当天行情的看法和操作思路以及现价单,需要看建议的自行去看就可以了。行情瞬息万变,王铭鑫不能给予及时的提醒。看似简单的买涨买跌,但还是有很多投资者为之苦恼,甚至付出惨痛的代价,日进斗金的技术我有,但也需要你来验证我的实力,(V.letter.finger.Guide:ymsd06)同时我的真心和诚意也都是一样、希望找到王铭鑫给予实时操作策略! 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.
This article is written by Wang Mingxin (Guidance Hotline;ymsd06)原创供稿,本人解读世界经济要闻,剖析全球投资大趋势,对原油、黄金、白银等大宗商品等有深入的研究。 |
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