API:Last week in the United Statescrude oil库存激增1420万桶创历史第二大单周增幅
APIAnnouncement, as of2month3During the current week, US crude oil inventories increased1420Ten thousand barrels, to5.036亿桶,连续第二周录得大幅增加,且创美国历史上第二大单周增幅,分析师预估为增加250Ten thousand barrels. Increase in inventory of Kuxin crude oil62.4万桶。此外,上周汽油库存增加290万桶,连续第6周录得增加,分析师预估为增加110Ten thousand barrels. Refined oil inventory increased last week140Ten thousand barrels, analysts estimate an increase30万桶。此外,上周汽油库存增加290万桶,连续第6周录得增加,分析师预估为增加110Ten thousand barrels. Refined oil inventory increased last week140Ten thousand barrels, analysts estimate an increase30Ten thousand barrels.
US Energy Information Administration(EIA)发布最新月度短期能源展望报告称,预计今年美国原油日均产量增加10Ten thousand barrels, to898万桶,较之前的预估低0.3%。同时将2017年全球原油日均需求增长预估下调1Ten thousand barrels, to162Ten thousand barrels. In addition,EIA在其月报中还将将2018年美国原油产量预估从93010000 barrels/日上调至95310000 barrels/日;并将2018年全球原油日均需求下调5Ten thousand barrels, to146Ten thousand barrels.
美国页岩油产量回升迹象愈加明显增加了市场的忧虑情绪,同时美元反弹也令油价承压,不过伊拉克等国依然展现出了良好的减产状态,这令油市继续得到支撑。美国WTIcrude oilfuturesThe lowest price hit in the session51.83dollar/Barrel, Brent crude oil futures hit their lowest point in the session54.73dollar/Bucket.
昨日美原油延续了前日大阴线的回落过程,行情早盘回踩53.36的位置后行情就开始下行过程,跌破上周低点52.3的位置后行情加速下行,最低给到了本轮三角整理下轨51.65的位置后行情开始整理最终日线收线在了51.72的位置后,日线以一根饱和大阴线收线,而这样的形态后,今日行情延续空,点位上,今日的行情回踩52.25Empty, stop loss52.6Look at the target below51.5and51.
Today's market rebound52.25Empty, stop loss52.6Look at the target below51.5and51.
Analysis of spot silver market:
昨日现货白银市场区间波动,行情早盘给出17.746The market began to decline after reaching its position, and the intraday low was reached17.53的位置后行情受到支撑快速拉升,给出日线高点17.774The market began to consolidate after the position was reached, and the daily closing line was finally reached17.68的位置后,日线以一根墓碑日线收线,而这样的形态收尾后,今日的行情先跌然后在考虑低多,点位上,17.6Multiple, stop loss17.45Look at the target above17.77and17.9-18
行情瞬息万变,文章具有滞后性,具体操作以实盘为准。由于各平台点位不同,需要换算点位的朋友可以直接联系越莹本人
Silver Operation Suggestions:
17.6Multiple, stop loss17.45Look at the target above17.77and17.9-18
1Investors who hold high positions can use the rebounding market to unwind and exit, or reduce their positions during high positions; Once the market changes, the placed orders will immediately stop losing and be eliminated, and reverse positions will be established to compensate for losses;
2Investors who are in the middle position can temporarily wait and see, do not rush to cut orders. If there is an opportunity in the market, they can reduce their positions on the placed orders appropriately, and increase their positions based on trend analysis combined with technical analysis to make up for losses;
3Investors who hold low positions can use the pullback market to sell out or reduce their positions on dips; Once there is a change in the market situation, the position will be stopped at a loss and eliminated, and a reverse position will be established to compensate for the loss.