This week(7month27day-8month2Day and Week)多国将公布包括CPIandGDP在内的重要经济数据,重点留意澳大利亚二季度CPI,德国、欧元区及美国二季度GDPCanada5monthGDP和中国制造业PMI等,央行方面,美联储将公布7月利率决议,美联储主席鲍威尔将召开新闻发布会,此外美国国会还会对一万亿财政刺激计划激烈争论,全球疫情相关的进展也需重点留意。周一(7month27day)亚市盘初,现货黄金延续涨势,再次小幅刷新2011year9月以来高点,因美元疲软且全球经济担忧提振避险需求,最活跃的黄金futures12月份合约更是再度刷新历史高点至1937.5dollar/盎司;投资者需要留意本周一系列GDP数据和美联储利率决议等风险事件对金价的影响情况。
Analysis of International Gold Price:
Technically speaking, the daily chartMACDandKDJ金叉运行,布林线三轨向上发散,金价沿布林线上轨向上运行,随着金价击破1900大关,短线上方并无明显压力,上方初步阻力可参考2011year9月触及的高点1921.18;若进一步突破,则金价年内完全有可能向上测试2000美元关口!整体来看,黄金市场的涨势还未结束,近期地缘风险加剧,推动了避险情绪的进一步升温,此外,在美国经济的表现下,市场也在等待着其下一轮刺激项目,随着金价击破1900大关,突破九年历史高点也只是时间问题;不过,由于金价短线涨幅较大,且KDJ指标也运行在超买区域,在金价进入历史高位的同时,我们仍然需要警惕获利了结造成的回落,下方支撑首先参考布林线上轨1878.13,若下破,则金价将进一步回踩5Daily moving average1864.11and10Daily moving average1835.05Nearby support;10日均线不失,金价目前强劲的看涨信号不会减弱;综合来看,金价目前表现依然强劲,但短线需要警惕超买回落的风险,所以短线操作思路上郭哲函建议看涨但不追涨,可等待回调后逢低做多,空单仍需谨慎对待。
To put it bluntly, you still don't trust Guo Zhehan's strength! Today, I believe that Guo Zhehan's long-term physical position has already been profitable28700dollar! Next, wait quietly for the gold to arrive1900!
A stable platform is reflected in deposit and withdrawal, professional teachers are reflected in operating profits, and a stable platform+A professional teacher=profit----郭哲函,一个专业黄金分析的团队,出金半小时左右及时到账,目前虽然行情好机会也有很多,但俗话说得好,天雨虽大不润无根之草,佛门虽广难渡无缘之人,只有伸手只有主动才能解决问题,只有抓住了时机,盈利之中必定才会有你!
(7Hot bookings for monthly return investment quotas, only remaining2Please contact Guo Zhe in a timely manner for specific plan settings and funding details
7Monthly 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!(estimate8Arrival in month200%Left and right profit targets)!
⑤ Recently, there have been frequent major market trends, and we are particularly open5000USD Mini Warehouse2First name! Opportunities are rare! ​