Post a new post
Open the left side

Liang Qiandong7.24早间黄金原油最新走势分析及布局策略附多空解套

[Copy Link]
342 0

Register now, make more friends, enjoy more functions, and let you play in the community easily.

You need Sign in Can be downloaded or viewed without an account?Register Now WeChat login

x
  

Message interpretation:
  
  gold面,周四(7month23day)贵金属避险需求将进一步体现,金银后续上涨空间依旧巨大;机构在研报中指出,本轮美国疫情爆发对经济的冲击与第一轮明显不同。美国第一轮疫情爆发是在3At the end of the month4月期间,此阶段由于美国采取封锁政策,多州宣布停工,因此对供给端的冲击大于对需求端的冲击。但6月中旬以来的美国二次疫情爆发,由于预计共和党州不会采取停工政策,只会暂缓复工进度,并对餐饮和娱乐等消费行业做出限制,因此本轮疫情对需求端冲击要大于对供给端冲击。因此在宏观避险需求增加的当下,贵金属的避险需求将会进一步体现;机构分析指出,受制于目前疫情的持续难以控制以及国际贸易局势的不确定性,盖过了短期抬头的风险偏好助推金价上涨,预计在疫苗没有重大突破之前,贵金属将步入震荡上行通道。其次,美联储极度宽松的货币政策使得市场对未来的通胀预期不断上调,金价进一步升值,从中长期来看,在全球低利率的大环境下,贵金属的投资价值将会更加凸显,推动中长期贵金属价格持续走高。
  
  crude oil面,由于对经济刺激的希望,本周油价一度跃升至4个月高位。此外,关于疫苗进展的消息也提振了市场的乐观情绪。总体而言,近期原油基本面向好,支撑油价走高,但是疫情二次蔓延限制了油价的涨幅。
  
  从供给端来看,数据显示,尽管加拿大和美国产量略有回升,但是仍远低于疫情前的水平,非OPEC产油国减产也将在一段时间内继续对油价构成支撑,另外同时还需关注OPEC+未达标产油国的补偿减产情况,因为OPEC+减产是此前推动油价反弹的关键因素。当然现在推动油价上涨的最主要因素还是通胀,随着欧盟和美国向市场疯狂注水,特别是美国这样毫无节制的注水行为,大大损害了美元的信用基础,因此我们看到美元近期弱势不改,美元因此主动贬值,导致大宗商品价值相对开始上涨。
  
Gold Technology Analysis:
  
  黄金日内上涨延续,冲高至1898一线后遇阻回落,但是多头上涨趋势没有改变,回落还是继续接多,依托1870-1875支撑干多!当前的黄金强势上涨,距离历史高点不过是一步之遥,而现在黄金多头上涨走势也非常健康,我们的思路也非常简单,顺势干多!本周一路干多收割,不亦乐乎,日内依托1875的支撑再次进场多,预计又是重复昨日的套路,先是震荡,然后拉升新高的走势!
  
  对于黄金当前的强势上涨的走势,梁乾东个人建议是可以分批入场,控制好仓位先行入场多单,见回撤再加仓。就像前面说的那样,方向对了,进场点位的问题就显得没有那么重要,继续强势上涨,不管哪个点位的多单最后都能实现获利。而今日行情冲高后回踩的关键支撑就是1870,再低一点就是今日回踩低点1863一线,但是跌至此区域的可能极小,那么短线1875位置即可直接进场多了!所以日内操作上梁乾东建议回调做多为主,高空为辅。短线上方关注1900-1920First line pressure, following below1875-1870Frontline support.
  
Technical analysis of crude oil:
  
  原油从日线上来看,油价窄幅震荡,布林带收口,留意布林线上轨与中轨突破情况,油价始终窄幅震荡于该区间;目前MACD粘合、绿柱动能放量,KDJ同样趋平、指数接近80。技术面看,油价动能微弱,等待方向性突破。上行方面,重点留意前一交易日高点42.5,进一步上破就需要考验扩展线1.618position43.4美元。下行支撑先留意5Daily moving average40.8支撑,其次是布林带中轨40.4。
  
  四小时来看,昨日不破40.8的情况下,其技术形态上的看涨预期可能会有所增强,但是再度回升上涨,上方面临的阻力也较大,初步阻力在42.5附近。当前布林带处于开口向上,价格昨日回踩中轨后开始反弹,价格目前处于MA5Japan and Japan10日线之上,KDJ三线拐头向上,MACD继续金动能柱持续放量,综合来看,原油震荡偏多!短线操作上梁乾东建议回调做多为主,高空为辅,短线上方关注42.5-43.4First line pressure, following below41.3-41.0Frontline support.
  

Single duvet cover? Online solution:
  
  1.Investors who hold high positions can use the rebound market to unwind and exit, or reduce their positions when they encounter high positions; Once the market changes, the covered orders will immediately stop losing and be eliminated, and reverse positions will be established to compensate for losses;
  
  2.Investors with mid range hedging can temporarily wait and see, do not rush to cut orders. If there is an opportunity in the market, they can reduce their positions appropriately and increase their positions based on trend analysis combined with technical analysis to make up for losses;
  
  3.Investors who hold low positions can use the pullback market to unwind and exit, or reduce their positions on dips; Once there is a change in the market, the orders will be placed to stop losses and exit, and reverse positions will be established to compensate for losses.
"Small gifts, come to Huiyi to support me"
No one has offered a reward yet. Give me some support
comiis_nologin
You need to log in before you can reply Sign in | Register Now WeChat login

Point rules of this version

more

Customer Service Center

238-168-2638 QQcustomer service Monday to Friday 20:00-24:00
Quick reply Back to top Back to list