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不谋全局者,不足谋一域;不谋万世者,不足谋一时。高瞻才能远瞩,有海的度量才能纳百川;弱水三千,我只取一瓢。懂得取舍,方能行远!你眼里盯着5美金的波动,大行情永远和你无缘,在投资市场需要把眼光放的长远才能在市场上立足!你的眼里考虑的是利润得失,而我考虑的是万丈深渊的风险,思路决定出路,看待行情不同的角度决定了你会为了利润铤而走险,而我会为了避开风险而放过一单的利润,谭鑫晟团队已经制定好一整套的盈利、回。本方。案,等你参与进来,为你的每一分利润保驾护航。 Regarding today's operation, Tan Xinsheng provides online guidanceSCLC415It has been published on the Moments section and provides daily analysis and operation directions for Asian, European, and American stock prices on WeChat, with an accuracy rate of over 90%, all for free. Did you miss today's profit? In addition, friends who currently have orders in their positions may not be able to provide corresponding solutions due to Tan Xinsheng's lack of knowledge about the location of your set of orders and the detailed information of the positions-Set strategy, need to solve-You can consult me about the set. 1、黄金日线双底成立?——不确定,需要二次回踩不给新低确认才行以及回调不能下破1720、1710、1705as well as1700这四个上涨中回调修正的底部,如果出现接连破位后市还将继续进行测试现在的底部1676 2、如果是双底,目前是什么阶段?——如果本轮回落1677-1678区域形成筑底,那么现在的阶段仍然还是处于大区间的震荡结构中,周三以及周四的探底回升反弹阶段,后市还需测试近期的1760High order 3、这么说来,双底还不确定回踩将还会发生?——双底没有构筑会有一定的回踩,只是发生的时间以及回踩幅度大小而已 4、如果回踩给新低呢?——顺势操作干空,黄金将会看1670-1660-1650以及更低的1600the highest level 5、何时可以进行抄底?——抄底不必急,给出新低之后会有一段时间的下行和震荡,到时给出企稳信号在进场也不迟 6、短线黄金冲高后最可能发生二次回踩的位置?——我周四已经给出过,激进可以在1728-1730区域附近,稳健可以在本次下跌的起跌点1733-1736nearby 7、本次周五非农数据影响大吗?——周五休市,非农数据出炉后将在下周一黄金开盘的时候体现,所以市场波动可能放大,可能直接表现出跳空的状况。不过数据行情是短暂的,不会影响到中期行情。 8、非农数据公布后有单边可能吗?——日线两阴两阳,现在黄金走势回归到大区间的震荡行情中,概率上判断下行只要不跌破1676低点就不会形成大的单边,上行不能突破1760区域也不可能形成大的向上单边,重点关注1760-1676区间的变化,区间未破还是会进入到震荡中 9、非农数据市利空还是利多黄金?——在疫情问题明显改善、多项前瞻指标向好,许多投行给出了较高的预期,美联储官员也对就业市场的复苏有一定的信心。但在”小非农“ADP就业人数却不及市场预期的情况下,美国3月非农就业报告,预期值为增加65万,远高于前值的37.5万,若预期成真,这将是去年10月以来的最大增幅。但市场预期可能更加乐观。摩根大通在其最新的报告中,将美国劳工统计局的就业数据与其自己追踪的就业数据进行了比较,预期周五的数据可能达到180万左右,足足是预期值的3倍。如果周五公布的非农新增就业人数真的达到180万,那将是市场预期的近3倍,将刺激更大规模的美债抛盘,到时遭殃的就不止是美债市场了,还有股市、黄金等。如果美债收益率继续飙升的话,下周一股票、黄金市场可能会遭遇一场全面下杀血洗。 综上所述,谭鑫晟分析认为本次非农利空黄金大于利多黄金,操作上我们周四晚间已经给出了1728-1730区域的空单,同时也设置好了止损以防出现意外,所以拿好仓位上的空单等待周一开盘给出的惊喜即可! Full day real-time online guidance WeChat:SCLC415】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! As a qualified investor, it is important to remember that most of the time we should focus on watching and waiting patiently for the best opportunity. We need to avoid frequent entry, and do not attempt to capture all the volatility in our operations. We also do not expect to judge every segment of the market correctly. It should be rare and precise!
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