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Chen Zeqiang:3.8黄金原油今日涨跌分析,日内操作建议

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  3.8goldMarket trend analysis:

  黄金技术面分析:早盘黄金价格跳空高开高走,黄金昨日高开,再伴随探高回撤回补早间缺口,一波三折式的迂回震荡上升,最高触及2002.30dollar|盎司承压,欧美盘短线回撤至1960.80dollar|盎司再启稳回升,好在尾盘仍收在高位1990上方。目前形态上还未出现,短线还处于高位强整理上扬当中。日线回补缺口后仍收在高位,均线指标5日线也是昨日的回撤支撑点,形成短期临界防守。

  4小时破高后延伸浪形延伸,目前是依托1877低点的延伸浪形上涨,突破1974之后的延续上升,昨日小周期K线形态伴随下探回升再启稳,虽然回撤幅度略大,但关键是尾盘收在了高位,使得形态的回落失守只是虚破性质失守。目前4小时布林道中轨的支撑上移至1970.下方上升趋势线的临界点支撑在1950.Overall,4小时还是处于上升趋势当中。短线可能放缓震荡,区间来回拉锯。整体趋势还是慢性上扬当中。综上所述,今日黄金操作上陈泽强建议短线建议回调做多为主,反弹做空为辅,上方重点关注2000-2002Frontline resistance, short-term focus below1960-1963Frontline support. I will prompt you on the specific operation strategy in the disk and pay attention to it in a timely manner. The recent market turbulence has been significant, with opportunities and risks coexisting. Control risks and increase profits.

  3.8Reference for Golden Aftermarket Operation Strategy:

Empty order strategy:

Strategy 1: Gold rebounds2000-2002Short (buy down) 2/10 positions in batches nearby, stop loss5Points, target1990-1980Nearby, break down and take a look1970frontline; (Suggested for reference only, investment carries risks, and caution is required when entering the market!)

Multiple order strategy:

Strategy 2: Gold Callback1965-1970Nearby batch long (buy up) 2/10 positions, stop loss5Points, target1985-1995Nearby, break down and take a look2000frontline; (Suggested for reference only, investment carries risks, and caution is required when entering the market!)

  3.8crude oilMarket trend analysis:

Analysis of crude oil news: Tuesday(3month8During the Asian period, oil prices hovered around120dollar/Near the barrel, there were disagreements among European countries regarding the ban on Russian crude oil; Oil prices jumped to2008The highest level since, as the United States and European allies consider banning oil imports from Russia, and the likelihood of Iran's crude oil quickly returning to the global market seems to have decreased. Due to the consideration of banning oil imports from Russia by the United States and European allies, the likelihood of Iran's crude oil quickly returning to the global market seems to have decreased. Strategists say that the longer the duration of high oil prices and inflation, the more investors will reduce their holdings in stocks, as this may lead to premature economic recovery. Ukraine claims that the third round of Russia Ukraine negotiations has failed to achieve significant results on a ceasefire and ceasefire agreement. Overall, differences between the United States and European countries over the import of Russian oil have increased the risk of uncertainty regarding sanctions on Russian oil, coupled with the uncertainty of the Iran nuclear negotiations, limiting the increase in oil prices; However, the unsuccessful negotiations between Russia and Ukraine will lead to a new round of negotiations, highlighting the various risks in the geopolitical situation and the strong support for oil prices. In addition, pay attention to the upcoming announcementEIAEnergy report.

  3.7Analysis of crude oil market trend:

  原油技术面分析:原油从日线上来看,原油昨日高开低走。跳空高开触及130.50承压回落,欧美盘无力破高延续,震荡承压回落至115.70.回补早间跳空缺口,最终收盘在120.0附近。日线收成中阴K线。日线形成冲高回落收低,尾盘未强力收复,使得今日短线会先转震荡,至于是趋势的完结还是短线的修正蓄势。目前还不太确定。仍需求观察今明两日的多空延续。

  4小时探高后回踩上周的高点突破口,同时也是跳空缺口处。尾盘暂时启稳在突破口之上收盘,单从4小时结构上来看,短线还处于上升趋势中的修正,结构稍有停顿,今日仍要考验115.70低点的支撑强度。强势修正行情今日要守稳回升收复失地,这样短线才能力度进一步冲高破高,反之下破且收盘在115.70下方。则加深调整向第二支撑点也是小时图上升的次低点106.60。波动基数大,短线考验进场位置和损位的设置,操作上要灵活应对。综合来看:今日原油操作思路上陈泽强建议以回调做多为主,反弹做空为辅,上方短期重点关注127.0-127.5Frontline resistance, short-term focus below116.5-116.0Frontline support. I will prompt you on the specific operation strategy in the disk and pay attention to it in a timely manner. The recent market turbulence has been significant, with opportunities and risks coexisting. Control risks and increase profits.

  3.8Reference for crude oil operation strategy:

Empty order strategy:

Above the rebound of crude oil127.0-127.5Short selling in batches nearby(Buy down), two tenths of a position, stop loss0.5US dollars, look at the target123.5-120.5Nearby; Dislocation117.5Nearby. (Suggested for reference only, investment carries risks, and caution is required when entering the market!)

Multi order strategy:

Below the crude oil correction116.5-117.0Nearby batch long (buy up), 2/10 positions, stop loss0.5USD, target123.0-125.0Nearby; Dislocation127.0Nearby. (Suggested for reference only, investment carries risks, and caution is required when entering the market!)

本文由陈泽强供稿,由于网络推送延迟性,以上内容属于个人建议,因网络发文有时效性,仅供参考,风险自担,转载请注明出处。


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