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Tan Xinsheng:3.10黄金震荡蓄势走势 反弹动能今晚将接受考验

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悲观者抱怨风向,乐观者期待转向,聪明者调整风帆,交易当中没有目标、没有期待,哪来的劲头。有句话说:有规划的人生叫蓝图,没规划的人生叫拼图。交易也是一样,震荡的时候少一些浮躁、多一点冷静,单边的时候少一些冲动、多一点坚定。一个人在市场里的输赢结果,实际上是对他人性优劣的奖惩,有不少人自进入这个市场就从来没有坚定过,只是因为他们从来就没有认真思考过。市场多数交易者都会错过70%The market situation is different in terms of the energy, market knowledge, and trading skills that each investor can control. Don't expect every profit in the market to be earned, and don't expect others to earn as much as they earn. There are always many trading opportunities that match your personality and your ability to interpret the market. Seize these and let go of other trading opportunities that are not suitable for you.
goldInformation analysis:
Tonight?9:30To be announced in the United States2After adjusting the roseCPI月率,CPI数据可能将对金价产生较大影响。预期为0.4%, previous value is0.3%。数据若高于预期可能成为进一步推动美债收益率上涨的催化剂。如美债收益率进一步攀升,金价恐将再次承压。另外,美国众议院预计将在北京时间晚22:00审议并通过刺激法案。重点防范再次被否决打乱市场预期的可能变数风险。
市场关注更多的是纾困法案的推出将提振美国经济进一步复苏,美国总统拜登很快将公布更长期的经济刺激计划,这或许加快美联储加息的步伐,从这个角度来看,法案对金价的上涨反而形成拖累。由于目前美债收益率与黄金走势呈现明显的负相关,因此法案对金价的长期影响归根结底体现在法案对美债收益率的走势影响。另一方面,更多的刺激计划可能引发市场更多的通胀担忧,这可能会推升美债收益率上涨,但也可能吸引部分通胀避险资金进入金市。
380亿美元的十年期美债和240Billion dollar30年期美债标售在即,分别在当地时间周三和周四的下午1点出售(即北京时间周四和周五的凌晨2spot)。整体的投标预期并不高,美债收益率重新上升到的风险依旧存在,市场短期动荡的因素并未完全排除,金银依旧需要当心冲高回落风险。
Regarding today's operation, Tan Xinsheng provides online guidancetxc296已经公布在朋友圈,并且会一直在威//letter//直播,准确率百分之九十以上,全是免费。今日利润,你错过了吗?另外,目前仓位上有单的朋友,由于谭鑫晟不知道你们套单的点位以及仓位的详细情况,不好给出相应的解-Set strategy, need to solve-套的可找我咨询。在此本人还是建议各位投资朋友以后做单不要抗单,仓位不要过重,避免下次再套,不是每次都是可以成功解仓,不是每次都顺心如意,每一次的做单是应该有计划的做单,详情解仓思路谭鑫晟将会实时在线给出,风险掌控及后续方案将会做出总体规划。
Tan Xinsheng:3.10黄金震荡蓄势走势 反弹动能今晚将接受考验937 / author:Jinshan Jiepan / PostsID:1598907
Gold market analysis:
黄金昨日收出大阳线,整体呈反抽震荡洗盘模式。其中,昨日黄金最高触及1720Nearby, lowest touch1676附近。日线走势上,黄金昨日呈反抽洗盘模式,行情自前天低位1681一带换线之后,秒出了近期低位1676一带,其后的反弹结构,连续击穿了1700and1707, and1715一带的波段压制,将两日以来的弱势续跌压制带尽数击穿,短期内甚至出现了反转势头,不过大势结构呈依旧承压1720一带,短期也只是向着盘整模式转变而已,短期多空的绝对优势已经开始模糊。
波段走势上,黄金昨日呈放量反弹走势,整体涨势看似连贯,然则其中包含了三波比较有代表性的逼空行情结构。昨日凌晨时段,行情换线之后迅速秒低1676一带,刷新了近期低位,整体结构承压1685之下走滞跌盘整,空头占优。亚盘时段,行情自1683一带的中阳线放量冲击1690一带,这是摆脱极弱势空头走势的第一步;欧盘时段,在并列十字星结构之后,行情大阳线刺穿1707一带,这是结构性逼空试探行情走势的开始,也是带动盘整结构出现实质性变化的开始;美盘时段,行情踩着1702一带两阳线放量反抽冲击1720一带,这是带动带动短期多空相对优势变得模糊的关键一笔。目前,结构上来看,行情直接承压1720一带,行情在1714一带的盘整,更像是震荡行情中轴带上的观望走势,多空的相对优势都已丧失,晚间基本面上因素利多利空均有较大的发挥空间,所以,策略上当是因时段波段思路应对,而对于晚间数据、信息公布前后则需提防往复剧震洗盘的可能。
Reference suggestions for gold operations:
1、继续持有1710一带轻仓测波段多,防守1700Next, let's take a look at the target first1720-1723区域压制,上破看1726-1730-1740Nearby the area, held in a broken position
Full day real-time online guidance WeChat:txc296】This article was written and released by Tan Xinsheng. Please indicate the source for reprinting. Because of the delay of network push and the timeliness of sending documents, the above content belongs to personal analysis. Real time market risk control needs to be flexible to deal with, and eliminate the risk of carrying orders. The content is only for reference. Investors should bear their own operational risk accordingly!
作为一个合格的投资者需要谨记,大部分时间应该以观望为主,耐心等待最佳的时机,需要避免频繁进场,操作上不要试图抓获所有波幅,也不要奢望对每一段行情都判断正确,应该少而精!
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