Monday(7month18day)International Spotgold亚市早盘扩大跌幅至1%, and refresh1324美元日低。在周末的周评里,公众号费一菲分析过上周五黄金上涨0.2%的原因和日内的做单情况,我说到今天早盘或者是全交易日,只要行情回落到1320-25的区间就可以大胆的去做多,目标可以看10reach15个点。上周五因美国零售数据向好提振美元走强,导致了金价一度承压下跌,并下探触及1322美元的日内低点。不过美盘尾盘时段土耳其发生政变的消息促使金价拉升10USD to1337美元,最终略微收涨,但还是结束了周线的6连涨,出现七周来首次周线下跌。更多行情资讯-2930+550+190,本周投资者除了关注一系列欧美经济数据外,还需注意欧洲央行周四的利率决议。周一的话市场消息面比较清淡,影响的都是技术面和风险事件的延续。
周一的白盘下跌主要原因还是上周的几个美国数据消息的利空影响,一个是美国6Monthly deduction of retail sales of automobiles increased compared to the previous month0.7%预期良好,周四公布的美国6Monthly Producer Price Index(PPI)Annual rate increase0.3%Meanwhile,6monthPPIMonthly rate increase0.5%Expected increase0.3%。和持仓方面上周四全球黄金ETFPosition reduction2.1Tons, to2001吨,全周减少5.3吨。世界最大的黄金ETF——SPDRgoldETF上周四减少了0.25%的持仓,至962.85Tons.COMEX黄金投机净多头头寸减少153933Hand, to271529手,此前连续三周触及纪录最高水平。还有上周四的乔治讲话表明美联储应该恢复渐进式加息。都是利空的消息,但是对于这周来说影响不长远,周一的表现也就是对这些消息的一个延续反应。
United Statescrude oil盘中小幅下跌,市场预期年内油价依旧将下降,有消息称美国的原油储备超过了沙特和俄罗斯,且美国原油产商将重启原油投资这对油价来说是一个不利消息。小时图显示油价走势倾向下跌,日线级别油价走势较为震荡,目前为止还没有迹象显示全球原油供需关系趋向平衡,此外一旦美联储恢复正常加息通道,原油有一定可能性重新测试今年1At a low point around the month, once crude oil prices recover, the resumption of production by US shale oil producers will once again suppress oil prices.
1、46.50Short positions near the US dollar, stop loss47.00美元。目标45.15
2、45.00Buy long near the US dollar, stop loss44.75, Objective46.40
The above content was written by Fei Yifei, Chief Analyst specially invited by Hubei Qianguanfeng,The content of the article is for reference only. Investment carries risks,Investors operate with caution,Take the risk yourself. The article template is exclusive to the Philippines, and if there are any similarities, it is purely plagiarism!