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Guo Shengshan:4.11黄金原油行情走势分析,日内如何操作

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 周一(4month11Asian period, spotgoldNarrow volatility, currently trading at1942美元附近,上周五金价震荡走高,因乌克兰与盟国称俄军袭击乌东火车站造成大量死伤,提升了市场的避险情绪;尽管上周美联储发出鹰派讯息,美元录得一个月来最大周线涨幅,对金价有所压制,但对俄乌局势的担忧情绪在周末进一步升温,多数华尔街分析师转为看涨本周金价。本交易日关注中国CPIdataPPI数据的影响发酵,留意英国GDP数据和美联储官员讲话,重点关注俄乌局势的进一步消息。

  美国最新通膨指数即将公布,市场认为美国3Monthly consumer price index(CPI)And the coreCPI年增将持续升温,要到4月增速才会放缓,官员为应对近40年来的高通胀,立场逐渐转鹰,根据上周公布的联邦公开市场委员会(FOMC)of3 月会议记录暗示,多名官员倾向升息2码,且未来可能开始以每月最高950亿美元的速度缩减资产负债表。受俄乌战争影响,油价与其他大宗商品价格上涨,上月最终需求生产者物价指数(PPI)年增率达10%,虽符合市场预期,但高于上月的9.7%,同时也首次飙升至两位数,市场认为PPI将近一步走高,料3monthPPI年增率升至10.6%。

  就目前的情况来看,市场预期未来两次会议总计加息100The probability of a basis point is56%。强于预期的CPI数据可能会提高美联储连续两次加息50个基点的可能性,并进一步推高美国国债收益率,这可能会令金价承压。欧洲央行将于下周四宣布货币政策决定。市场普遍预期欧洲央行将维持其政策不变,但若该央行对前瞻指引采取强硬立场,可能为欧元/美元的决定性复苏打开大门,并令美元承压。在这种情况下,黄金应该能够小幅走高。另一方面,欧洲央行可能会变得谨慎,关注俄罗斯和乌克兰旷日持久的冲突对经济活动的潜在负面影响,而不是通胀。在这种情况下,欧元/美元可能面临看跌压力,令金价难以获得支撑。美国还将于周四公布3月零售销售数据,预计周五复活节假期期间市场将恢复平静。

  4.11Analysis of gold market trend:

  黄金技术面分析:日线级别来看,金价周四打破了阴阳转换的局面,周五如期形成破位上行,从日线来看,连续多天形成盘局的破位,单K光阳中阳,价格形成了延续上行,明显的多头确认上行,当下短期均线形成金叉向上,价格站在中期均线上方,而四维图表日图在周五确认了多头,短期其次没有什么可质疑的,无非是那里买入,一是空档,二是周五冲高回落的再次支撑位,如果强势预期就在这一线,弱一些回落空档,但是直接回这里就不算强势多头,只能算是对周五的修正,但是不管怎么样只需要把握一点日图方向是多头就够了。

  其次从四小时图来看,价格至下线上扬后,周五已经突破上线,K线组合上也形成了延续,后边再向上就将测试加速线这里,那短期上线和一线已经形成了强支撑,另外小时图30分钟都是强势多头,结合日图回落预期最多30分钟下线,而上方一是四小时加速线,二是日图上线,因此综合得出结论如下:4小时上周守住在布林带下轨1915长时间整理启稳,周尾走出一波连阳式反弹。打破了窄幅整理区间,同时顶开布林带上轨。拉动均线指标拐头向上形成支撑。1小时显示短线还有适当延续性整理上扬空间,而中轨也是此前的回测的二次低点1926是强弱分界点,此位之上偏多。反之转弱,目前在中轨上方回调择机做多为主。首个支撑则是区间突破口上轨,由此前的阻力转换成支撑,在1936-1933附近,亚欧盘回踩先行短多。综上所述,今日黄金操作思路上郭晟衫建议回调做多为主,反弹做空为辅,上方重点关注1963-1966Frontline resistance, short-term focus below1936-1933Frontline 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.

  4.11Reference for Golden Aftermarket Operation Strategy:

Empty order strategy:

Strategy 1: Gold rebounds1963-1966Short (buy down) 2/10 positions in batches nearby, stop loss5Points, target1955-1945Nearby, break down and take a look1940frontline; (Suggested for reference only, investment carries risks, and caution is required when entering the market!)

Multiple order strategy:

Strategy 2: Gold Callback1938-1940Nearby batch long (buy up) 2/10 positions, stop loss5Points, target1950-1960Nearby, break down and take a look1966frontline; (Suggested for reference only, investment carries risks, and caution is required when entering the market!)

  4.11crude oilMarket trend analysis:

Analysis of crude oil news: Monday(4month11日)亚洲时段,美油小幅下跌现报95.55dollar/桶;油价上周连续第二周下跌,因各国宣布计划释放战略油储,疫情蔓延,不确定性风险增加;几周以来,原油一直处于2020year6月以来的最不稳定状态。伊拉克国家通讯社上周五援引石油部的话称,OPEC+对产量目标的承诺有助于吸收市场上的过剩供应。石油服务公司贝克休(Baker Hughes)的数据显示,截至4month8日当周,美国生产商增加了13个活跃钻机,为连续第三周增加。油市进一步的压力来自美元走强,此前有信号显示,美联储可能在年底前将联邦基金利率再提高三个百分点。此外,疫情快速蔓延,需求的不确定性限制了价格。

  4.11Analysis of crude oil market trend:

  原油技术面分析:原油从日线上来看,原油上周收缩整理,周线收盘小阴十字K线,整体空间走得不大。日线连续的星K线整理,在低位测试颈线支撑,但始终仍未破位,本周仍要留意颈线处的争夺。颈线93.30是多空关键,失守则进行C浪下跌延续。目前还处于争夺的阶段。日K线目前稍有钝化等待打破。对俄乌局势导致供应短缺的担忧,美国与其他一些国家相继释放战略原油储备,导致油价承压。

  4小时图短线处于下行台阶当中,逼近了前低点颈线的争夺,短线下行进入停顿蓄势阶段,单从4小时结构来看,还处于震荡式台阶下行当中,但只有下破93.50才能完全打开空间,上周在接近低点后局部进入震荡拉锯。本周依旧重点关注颈线得失,同时目前下行通道趋势线未突破,短线仍以反弹择机高空为主,或下破93.50加速打开空间再顺势跟进。日内短线阻力98.80-99.0.下行趋势线阻力100.30.综上所述总结:原油在经过连续下跌后,终于在上周周五出现了削弱迹象,本周重点关注油价上涨连续性,进一步打开上行空间,下方坚守在93.5The US dollar, which is the long short divide for bullish crude oil, is expected to continue a wave of upward trend if it does not break below this level. The upward target is focused on99.8Break situation, then102.0美元加速水平,今日原油操作上郭晟衫建议回撤布局多单为主,回撤支撑关注93.8-94.0美元一线。具体操作策略我会在盘中提示,及时关注。近期市场动荡幅度较大,机会与风险并存。控制风险再博收益。

  4.11Reference for crude oil operation strategy:

Empty order strategy:

Above the rebound of crude oil98.8-99.0Short selling in batches nearby(Buy down), two tenths of a position, stop loss0.5US dollars, look at the target97.5-95.5Nearby; Dislocation93.8Nearby. (Suggested for reference only, investment carries risks, and caution is required when entering the market!)

Multi order strategy:

Below the crude oil correction93.8.0-94.0Nearby batch long (buy up), 2/10 positions, stop loss0.5USD, target97.0-99.0Nearby; Dislocation100.0Nearby. (Suggested for reference only, investment carries risks, and caution is required when entering the market!)

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