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Tang Jinzhao:4.29黄金晚间操作思路,黄金走势分析及原油精准...

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Article Summary:goldcrude oilTechnical analysis. How to stir fry gold and crude oil for beginners. What to do with losses on investment in gold and crude oil?Analysis of the Trend of Gold and Crude Oil.Recommendations for Operation of Gold Crude Oil.Gold crude oil strategy.How to analyze the market for investing in international gold, paper, and silver? What do you think of today's bullish gold, oily paper, and bullish silver? How to recover losses from investing in spot gold? How to operate the gold paper and silver short line? What are the current gold resistance and support levels? How should beginners make orders when investing in gold, paper, and silver? Will London gold prices continue to rise today? Will paper and silver still fall? What recent news will affect the trend of gold paper and silver? What is the impact of the rise and fall of the US dollar on gold? Analysis of today's market trend and operational suggestions for gold, oil paper, and silver. Will spot gold continue to rise today? Will Meiyuan Oil Paper Silver Still Fall? How to operate international gold paper and silver today?

Core values of trading: Long short trading is not right or wrong, but only makes corresponding strategies at the appropriate time. Many people find that setting a stop loss will always be lost because they have not grasped the correct position. Courage is to control fear, not to have no fear in the heart. Everything can be lost, hope cannot be lost, everything can be lost, confidence cannot be lost. How to grasp the trend in this market is to follow the trend. When the trend comes, intangible forces are pushing you forward, in goldforeign exchange市场要获利收益,这点犹其重要,盈利的秘诀是什么?答案很简单,而最简单也是大家忽视的,最宝贵的东西也是免费的,就犹如我们呼吸的空气,阳光的普照。赚钱的秘诀是什么?其实很简单,抛开所有消息面、基本面,回归理性,独立分析,跟随趋势。你对行情把握操作不理想或想学习的投资朋友可以添加唐金召微信【TJZ0168】进行交流探讨。还可以获取每日原油操作建议,黄金市场每日分析,最新策略;

  ===Analysis of Gold Market Trend===

Thursday(4month29day),国际金价上扬,美联储承诺维持宽松政策以支持经济复苏,这一表态支撑金价。此外,美元走软已带来近一步支撑。金价后市上看1820美元。北京时间13:53Spot gold rose0.21%to1785.54dollar/Ounces;COMEX期金主力合约上涨0.63%to1785.1dollar/盎司;美元指数下跌0.09%to90.529。金价上日在跌创4month16New low since the beginning of the day1762.71dollar/盎司后反弹,终盘收升近0.3%。黄金往往受益于各国央行的广泛刺激措施,因为它被视为对冲通胀的工具。美联储隔夜维持利率和月度购债计划不变,并承认美国经济复苏势头不断增强,但并未暗示准备减少对复苏的支持。联储主席鲍威尔还称,几乎可以肯定的是,即将到来的物价上涨将是短暂的,不会出现迫使美联储比预期更早开始加息的那种持久问题。美国3月商品贸易逆差创下纪录高位,表明贸易给第一季经济增长造成拖累,但在政府提供大规模援助,疫情压力有所缓解之际,这可能被强劲国内需求带来的提振所盖过。

  黄金昨日我们一直坚持一个观点,就是1785压力位置下看跌,昨日黄金多头虽然跃跃越试,但是最终还是没有突破1785压力,强不再强必转弱,最终行情还是如期回落,现货黄金昨日美盘止步1785,隔夜震荡下行,早盘跌破1775,短线急跌再次跌破1770。注意,这是第二次跌破1770,同时配合的是4小时布林开口打开,还同时跌破均线MA60支撑,所以,这一次的破位1770,不同以往,基本可以盘点走势转空了。此外,最重要的是,金价昨日止步1784-85一线,形态上这就走出了头肩顶形态,内嵌双重性,双重保障,放空信号。

  黄金从日线来看MA5出现弯腰下行压制1780一线,布林带也开始缩口运行,上方高位压缩在1800大关,MACD红柱能缩量有望转绿柱能运行;且月线反弹也受压于MA5,年度高位2075跌势强劲还有望延续,本月即将月线收官,多头有望回吐;加上1798多次冲击未果形成M顶回落,代表空头承压较重,技术面上还是有望继续下行回落,4小时昨日反弹止步中轨附近,重新回到空头通道中,同时跌破均线MA60支撑,布林开口打开,这是走势转空的信号。所以今日黄金操作思路上唐金召建议反弹高空为主,上方重点关注1792-1795Frontline resistance, short-term focus below1760-1765Frontline support.

  ===Analysis of crude oil market trend===

Thursday(4month29day),国际油价延续升势,因有关今年夏季需求恢复的看多预期,抵消了对印度、日本和巴西新冠疫情升温的担忧。NYMEX原油后市上看65.82美元。北京时间14:10,NYMEXcrude oilfuturesrise0.50%to64.18dollar/Barrel;ICEBrent crude oil futures up0.50%to67.11dollar/桶。日线上看,NYMEXCrude oil from57.63USD starts to rise(5)浪走势。小时图上看,油价处于自60.67The upward trend of the US dollar opening3浪,料升破61.8%Target bit64.84USD and is expected to rise further76.4%Target bit65.82USD.3Waves are(5)The sub waves of the waves.

  隔夜原油延续涨势,当日涨幅超过2%,早盘开盘小幅回落,触及日内低点62.6后快速拉升,欧盘慢阳上行,美盘扩大涨幅,在EIA利多刺激下,一举突破64.3高位,最高触及64.5美元,最后收盘于64美元附近。从日线来看,周三行情延续上行且收阳线,油价出现了低开高走走势,高价破前高,低价没有破前低,出现了出头走势,收录一根大阳线,进一步突破前期震荡平台阻力位走高,ma10Upper dressingMA30形成金叉向上发散,行情再次站上前期调整箱体上方,整体表现多头趋势,短期油价有望延续上行。小时kThe line simultaneously steps on the middle track of the Bollinger belt and50均线上涨,大阳线一路强势拉升,布林带轨道明显的向上倾斜,开口继续加大,明显的向上倾斜,小时线呈明显的多头走势。整体来看,原油在周初的回踩确认底部之后,基本收复了上周的跌幅,目前呈双底上破走势,那么今日原油操作思路上唐金召建议以回调低多为主,反弹高空为辅,上方短期重点关注64.5-65.0Frontline resistance, short-term focus below62.5-62.0Frontline support.

  我们做的是投资!不是投机 !持续盈利的窍门只有一个,等待时机,时机一到:精!准!稳!成功的投资=严格的心态控制+正确的资金管理+过硬的技术功力,据我在投资市场的数年经验,结合个人见解,总结了一些投资朋友之所以出现资者爆仓、锁单或是大面积亏损。在心态上基本上是以下几个因素造成的:

  一、执迷不悟型:方向选择失误,不能当机立断,心怀侥幸,死撑到底,直到爆仓,把全部资金都搭进去,才不得不被强制平仓,不撞南墙不回头。商业社会,生存是王道,要先学会保存资本,而后才能从长计议。

  二、仓位太重型:属于过度交易的范畴。这是爆仓的主要原因,很多投资者可能资金限制,往往操作上都是重仓操作,所以一旦亏损,就没有回旋余地。合理持仓,严格止损是任何时候都不可缺少的。

  三、不设止损:一般分析师在给出操作建议时基本都会提醒止损点位,可是很多人还是因为没有止损而中招暴仓。在我看来主要体现在投资者存有严重的侥幸心理。投机和运气不可能永远伴随着你,要想稳定获利,严谨的逻辑思维和严格的操作方式。市场是有一定的规律可循,但不会以任何人意志为转移的,当然我们也不能完全否认,在打穿止损之后,价格回头也在行情中偶尔出现。但本人在这建议大家,遵循市场的二八原则为上策。

  四、过度交易:从操作的规划角度来说,属于没有计划,急于翻本,下单随意,情绪下单,导致心态失衡,亏损率很高,像钝刀子割肉,一点一点地割没了,暴仓了事。在投资领域,说一点没有偶然性的成分,哪是假话,我们得看到的是偶然中一定有必然。长期获利的投资者一定有很多地方的理念是高度吻合的。

  五、逆市而为,加死码每当市场上演逼空行情或杀多行情都会打爆很多人的帐户。究其原因就是一味地死多或死空,不会灵活应变,顺势调整。而且越错越加码,加死码,幻想有一天点位回头,能够逆袭。我建议,加强理论学习,谨慎实践操作,可以提高自身的技术分析水平和实操过程中必要心理素质。

  六、盲目跟单:行业中有很多投资者常常被一些所谓的小道消息所坑,市场上的信息不全信,也不可不信。作为一位投资者,自身应该有拒绝诱惑的能力,也应当具备相应的识别能力,如还不能判断,可以静制动,持仓观望。

This article is written by Tang Jinzhao(VX:TJZ0168)Original submission, I interpret world economic news and have in-depth research on commodities such as crude oil, gold, and silver. Due to the delay of network push, the above contents are personal suggestions. Since the network documents are timely, the suggestions are only for reference, and operational risk is borne by yourself!

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