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Wang Tianbao4.9黄金暴涨晚间行情走势预测;黄金原油最新操作...

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  目前美元如预期调整到92区域,这个也是去年日线绝望诞生做多信号的支撑区域,本轮93.6一路调整基本下跌空间有限,所以多余话不说,92下不要过度看空美元,而是分批买入,从最近基本面看好坏不一,而且宽松基建计划以及美联储纪要和讲话都是各派明显,同时三大stock market index不断出现高,稀释部分投资美元资金,一直不厌其烦的说,霸权的主要工具就是武器科技和金融,这里金融又是米股,米债和美元,只要美元下跌,显然股指都是连续上涨的,当然这种无厘头更多还是宽松导致,上帝让其死亡先让其最后的疯狂,往往最后的疯狂也是最血腥的,所以暂时超跌严重美元分批买入,在有10年国债收益率震荡横盘,不能有效助推美元上涨,但是对经济复苏增长预期有增无减,掠夺全球财富是其根源,那么就不能失去美元的信任,当然全球或多或少开始局部摆脱美元,但是结算和储备货币依然是美元, 瘦死的骆驼比马大,暂时美元依然地位不会被动摇,所以今日美元92reach91.7区域开始做多进场。综合上述操作思路如下:

Support:92----91.7

Pressure:93.3----93.8

  美元如期调整连续几日以后技术修复逐步完成,92下不宜在过度追空,支撑依然是91.7reach92区域买入91.4Loss target93reach93.6Area.

  goldtechnical analysis

  现在行情再次运行考验1765区域,熟悉盘面都是清楚1765重要性,而且顶底转换这里也是第一压力区域,都是应该知道1765是去年1640reach1765横盘整理两个月的上轨,突破以后涨到2074新高位置,出现调整大跌也是到1765日线出现绝望诞生做多信号涨到1960区域,随后大选水落石出,特不靠谱承认大选失败,没有半夜推特避险不在,资金大规模撤退下跌,当然跌到1760还是出现开始反弹最后冲高无果,再次下跌1676区域,绝望诞生做多信号出现日线反弹最高1755区域二次探底1677位置,开启双底反弹目前最高触及1758位置。那么现在就是清楚1760reach1765是关键压力,1760上没有必要追多,连续上涨又逢周五防止黑天鹅冲高回落,如果你错过跟随我们1677双底做多反弹上涨行情,那就是不要错过调整做空波段,当然只有调整以后从新再次做多。所以周五那就是不要怂出新高分批做空开始,第一美元92下支撑明显,那么美元企稳再次上涨黄金必有调整,其次黄金本次出现连续上涨没有30美金以上行情调整,那么直接破位防止持续动能衰退突然闪崩,在有那就是ETF持仓跟1960那时候一样每次反弹新高都是出现明显减持,这就是不看好后期涨幅,所以现在这个时候我们多单都是1760附近出局,直接空单进场分批不要怂,今日空姐不是不到无非晚一点而已,一日波动改变三观,也许全网开始疯狂追多时候,又到变盘跌到你怀疑人生。至少没有必要1760上追多,那就是说1765如果是本轮上涨压力位置,回落40美金以后再参与多也就是1710reach1720区域再说,当然如行情偏激突破,那么我就是观望等下周以后再砸锅卖铁的空,交易就是这样必须有理有据,不是跌了1680追空说趋势空,涨到1760都是低位多10连胜,敢于在行情走出之前布局,等待市场验证能成功才是王道。今天我们直接主空不含糊,不要怂哈拉少。综合上述操作思路如下:

Pressure:1765--1785

Support:1738----1720

  日线双底颈线在1760reach1755压力连线在1753位置,前期反弹新高1755位置,昨日突破1755Highest touch1758区域,显然突破幅度和力度不够,那么存在诱多,所以今日交易做好两手准备如果诱多那么直接1758附近短空进去开启调整,当然如果强势那惯性在有上涨测试1765那基本还要逼空上涨,所以要么诱多1765下直接调整做空,要不就是极限突破惯性20美金洗完所有空在1785再次闪崩,所以今日1758reach1763Regional Short Space1768损目标不带,如果这个单损了那就是1785reach1790区域砸锅卖铁空进场1795损目标不带。显然压力区域随时闪崩,不宜追多。当然复制历史上次1676rebound1755Fallback1699企稳,我们安全挂单1703.8多等待就好。

  TDAnalysis of Gold Technology

  现货上涨带动TD上行,TD走势当然跟随现货黄金就好,毕竟是一个不同报价而已走势基本一样,现在连续上涨中线支撑上移367区域,压力集中375位置,连续上涨不宜追多,当然直接373reach376Regional Short Space379损带好。也即是说回落继续365reach362Multiple losses360target366reach370Area.

Analysis of Silver Technology

Silver has been relatively weak compared to gold in recent times, so it is important to prevent future gatherings and price increases. After two days of rebound, silver showed a long-awaited despair and gave birth to a bullish signal, which means that silver is expected to become the dark horse of upward trend in the later stage of gold stabilization. It has been repeatedly mentioned that more participation in silver buying during the stabilization of gold is due to the increased demand for silver industry due to economic development, which undoubtedly serves as a catalyst for the subsequent surge in prices. This is why retail investors flocked to silver last month30The reason for this is that only value depressions are bound to drive profit driven capital crazy buying. Yesterday, silver followed the bottom of gold and rebounded, and currently supports upward movement24.6Regional, that is to say, it's better to continue buying after falling, as for short selling and other gold adjustment signals. Based on the above operational ideas, the following is a comprehensive approach;

Pressure:25.6-----26.5

Support:24.2-----23.2

The daily long signal appears, which is to directly fall back and keep the long unchanged, while the midline falls back24.2reach23.9Regional selective buying in batches23.5损就好,直接反弹25.6reach26可以短空26.2Loss target25reach24.6That's it. After all, there are bullish expectations for silver industrial demand in the later stage of economic recovery, and there has been speculation in the early stage. It cannot be ruled out that there will continue to be a rise in the later stage, which means that gold will stabilize and silver will increase even more when bullish. correspondingTDThe trend of silver remains unchanged5050reach4970分批买入严格4970Loss. Direct rebound5450reach5510Area Empty5600No damage to the target.

Petroleum Technology Analysis

  昨日石油波动依然来回震荡,没有打破最近震荡平衡。最近石油58.5reach62区域震荡,每次冲高回落,显然62上压力明显。上周欧佩克无任何新意,当然还是开始5月陆续增产了,显然高油价的诱惑都是眼馋了,在有和伊朗签署协议达成,至少告诉世界我们不需要在从世界油去进口,最低消费国突然不进口都是用伊朗的了,那也就是说制裁不让伊朗出口,这部分产能再次开启出口都是我们包了,无疑供给增加需求降低,这也是对石油最大利空,你慢慢品当然市场资金必须制造假象,一定还有个反抽测试压力,目前看石油经过消息震荡以后最终还有回到技术面,日线68reach65Downward channel pressure62.5附近,那么反弹继续做空不要怂,消息需要一个消化,前期减持逐步上涨,后期逐步增产以及伊朗油进入市场,后期也是震荡下跌切记。合上述操作思路如下:

Pressure:60.5---62.3

Support:58.3----57

  现在反弹60.5reach61区域继续空61.8损就好目标都是58.5reach57reach54区域,激进58.3reach57.7Short Duo57损,关注57得失如果失守就是去46和前期缺口42.5去了,不要什么不可能,在石油这里什么都是有可能。



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