Register now, make more friends, enjoy more functions, and let you play in the community easily.
You need Sign in Can be downloaded or viewed without an account?Register Now
x
能带你盈利的才叫老师,能互相扶持,互帮互助的才是朋友,嘘寒问暖的是亲人,骗吃骗喝的是表面兄弟,投资交易如同做人,选择大于努力,不论是交易方向的选择,投资方法的选择,还是老师的选择都至关重要,不能带你盈利的都是夸夸其谈,谋事在天,成事在人,诚恳走一生,虚情假意将永远被唾弃,是金子总会发光,鱼龙混杂的市场,吹嘘得来的认可,总会原形毕露,唯有坚持写出对投资者有用的分析,能让投资者少走点弯路,学到技巧与知识,少错一单,那么我相信日久见人心。
Investmentgold无论行情暴涨,暴跌,单边还是震荡,你是不是总是没把握住?就是所谓的一买就跌,一跌就割,一割就涨,一涨就追,一追又套,一套再割,这就像一个死套。资金不断的缩水,过程一直在循环。如果你处在这样的循环中,请停下来好好想想,总结一下经验和教训,整装再发。萧毅舟一直都说,我不是神,也会有错误,但是虽不能保证你单单都盈利,却会用认真负责的态度,精准的点位判断,稳健的做单方式来保证你整体长期获利。
Analysis of the latest gold market:
Analysis of Gold News: Monday(3month14日)亚洲时段,现货黄金窄幅震荡修复。今年头几个月,金价上涨了近两位数的百分比,但一些有影响力的预测人士预计,2022年剩余时间内,金价可能会进一步大幅上涨,而且有多种基本面因素在发挥作用,可能会进一步推动金价上涨。通胀几乎在全球范围内上升,还可能进一步上升。但这只是可能在未来几个月和几个季度推动金价走高的部分因素。策略师表示:“近期大宗商品价格全面上涨,全球地缘政治不确定性不断上升,这意味着我们对黄金投资和央行需求的乐观预期,现在正成为基本假设。我们现在预计,2022年黄金需求将强劲增长。上一次我们看到所有主要需求驱动因素同时加速是在2010-2011年,当时金价上涨了近70%。“俄罗斯总统普京暗示俄乌谈判取得进展,降低了对黄金的避险需,不过美国宣布取消莫斯科特殊贸易地位,令金价跌幅受到限制。本周重点留意联储的政策会议。
黄金从技术面来看,黄金上周冲高回落,受避险的推动周初一度冲高逼近前期高点2070一带,冲高后周尾两个交易日承压震荡回落,上周五伴随连阴式的回吐收低。周线一根十字阴K线收盘,较长的上影线,显示周线级别止涨回落,日线则是双阴平阳收低失守10日线,触及多头生命线没能快速收复失地,附图MACD指标有高位死叉之迹象,日线同样进入调整周期。本周继续看高位回落延续。 4小时此前A浪调整后经过B浪反弹修正,目前正处于C浪调整当中,而跌破低点1970奠定浪形延伸的基调,目前初步形成波浪调整当中。空间上还有持续性。4小时布林道此前反弹在中轨处承压回落,上周五也一直维持在中轨下方运行,下破1970低点后形成延伸式的下行。4Hours are bearish.1小时图短周期则是构造台阶下行通道,反抽的高点2009是短期的空头临界点。此位之下短线弱势向下,上周五尾盘反弹在1990附近再承压。综上所述,黄金今日操作思路上萧毅舟建议反弹高空为主,回调低多为辅,上方重点关注1998-2000Frontline resistance, short-term focus below1955-1950Frontline support.
crude oilLatest market analysis:
Analysis of crude oil news: Monday(3month14日)亚洲时段,国际油价低开低走,美原油跌逾2%Currently traded on106.86dollar/桶;油价上周也录得自去年11月以来的最大单周跌幅,因俄乌谈判取得实质性进展,交易员评估因俄罗斯入侵乌克兰而受扰的供应前景可能出现改善。分析师称,“伊朗谈判停滞是支撑市场的因素之一,市场参与者现在将密切关注俄罗斯出口数据,以了解(供应)受到多大影响。”他表示,本周的焦点将转向国际能源署(IEA)和石油输出国组织(OPEC)的石油市场报告。这两个组织都表示,今年市场应该会供过于求。对于急需更多供应的石油市场而言,核谈判陷入僵局,也使伊朗原油无法尽早回归。总体来看,俄乌谈判取得重大进展为原油供应担忧降温,且乌克兰致力于第四轮谈判“达成一致”;俄乌地缘紧张局势存降温可能,短期油价或偏空;但需警惕西方各国对俄制裁,以及全球疫情蔓延影响需求或减少。
原油从技术面来看,原油上周高开低走,周初跳空高开至130.50一带承压,周中和周尾反复冲击高点未能突破,周尾承压回落收低。收盘在107.0附近。周线收盘一根大阴K线。初步止涨回落,短线转空。日线则是伴随连阴式的回吐,双阴夹阳式的调整向下形态。4小时跌破前一低点115.70之后,反抽114.80承压,上周五一直维持在次高点114.80下方弱势运行,确认破低点之下的受阻震荡,布林道中轨向下形成压制,4Hours are bearish.1小时图当作台阶下跌通道,同时也是C浪下行调整延伸当中,虽没有破低,但在酝酿下破当中。B浪反弹高点114.80不收复,短线在弱势震荡中蓄势下破。本周操作依托114.80做防守反弹看空即可,目前中轨的阻力在110.20-110.30附近。也是综合来看,今日短线操作思路萧毅舟建议以反弹高空为主,回调低多为辅,上方短期重点关注112.5-113Resistance, short-term focus below99.5-100Frontline support.
【黄金原油投资亏损了该如何去补救!】
1、适度交易 多而广不如少而精,一味抱着“投多赚多”的态度,并不能在出现亏损时紧跟市场,控制做单质量。倒不如详细做好交易日记,找出失败和成功的原因,及时做好调整来止损。若仍是亏损不止,则需抽身休息,在脑中构建虚拟市场,整理思路,进而验证自己的观点。如你的投资方法真的不能奏效,换一种。读读成功者写的书,看看他们是怎么成功的。可是要注意那些所谓的投资秘决,成功妙计。
2、熟识市场 知己知彼,方能百战百胜,黄金投资者不能单单追求技术分析的精湛,对黄金投资基本面了解的程度,往往能够影响黄金投资成功的几率。同时,也能够准确把握并弥补黄金亏损。详细做好交易日记。如果你能做好交易日记,提示你可以在投资市场溯本推源了,找出失败和成功的线索,及时做好调整。
3、依计行事 即使偶尔会出现计划赶不上变化的情况,对黄金投资者来说,制定并遵循合理的投资计划是必要的。盲目涉足黄金投资市场,只会是迷途羔羊,让市场牵着鼻子走。而对中长线投资人来说,不必每市必做。只要大势判断准确,手头的头寸顺应了自己的判断,便可放长线钓大鱼。
4、相信自己 如果自己都怀疑自己的投资理念,又何来对黄金投资市场的运筹帷幄。一种投资方法没有效果,那就换另外一种,总有适合自己的投资方式。切记识别鱼龙混杂的投资技巧;咨询萧毅舟及时了解市场资讯,把握大趋势行情助你稳健获利!
5、错误时果断离场 在明确犯错导致亏损,且亏损不断扩大,超出预期时,或许不做任何补救措施,尽快离场是最好的补救方法。可惜这种方法只有小部分人才能做到。
As is well known, investment involves both returns and risks, so there is a possibility of losses during the trading process. In order to better control risks and reduce losses, investors need to learn to take stop loss measures. So, how to correctly stop losses in spot precious metal investments?
1Treat stop loss with a calm attitude
Stop loss is one of the main measures for precious metal investors to manage risks. From an operational perspective, although investors have no errors in their thinking and principles, the execution results of anything are probabilistic and difficult to guarantee 100% accuracy. Secondly, the establishment of the stop loss principle also needs to be continuously improved, and corresponding measures should be taken according to different situations. Therefore, the existence of stop loss is of great significance in the operation process, and regardless of the outcome, investors should strictly adhere to it.
2Execution of stop loss awareness
In general, investors should set a stop loss point before entering the market and immediately execute it when the actual situation matches the stop loss principle. Do not hold a lucky mentality and delay the stop loss with various excuses, as this will only cause losses to continue to expand. Therefore, investors should adhere to less thinking and more action when executing stop losses to avoid making incorrect judgments due to excessive thinking. You should know that the issuance of stop loss signals is not something that investors think of themselves, but rather a manifestation of objective facts. Therefore, it is right to firmly execute them.
3Stop loss thinking needs to be improved
As a qualified investor, stop loss should be viewed more thoroughly, because in a sense, stop loss can help everyone avoid greater losses, but it itself cannot generate profits. For investors, the success or failure of stop loss is a thing of the past. What is important is the next step. Investors must adjust their mindset in a timely manner and develop a more comprehensive and scientific investment operation plan after the stop loss, in order to improve accuracy and reduce the probability of stop loss recurrence in the next step.
In general, investors should always prioritize breakeven and profit. Only by treating stop loss correctly can they avoid risks and obtain larger profits as much as possible.
Due to the delay in network audit push, the above content is personal advice and does not constitute a specific operation. The suggestions are for reference only, and any profit or loss will be borne by oneself. Investment carries risks, and caution is necessary when entering the market!
Wen/Xiao Yizhou
|
"Small gifts, come to Huiyi to support me"
No one has offered a reward yet. Give me some support
|