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Jinxin Wealth;4.6金银油日内行情分析附多单解套
goldtechnical analysis
今日周四,晚间建议大家关注美国初请失业金数据,重点是本周五晚上的非农就业数据;回到盘面,从本周以及昨日运行来看,今日继续看震荡走势,只是当前区间扩大了;打破震荡区间需要等美国非农数据的指引;上方压力重点关注1260-1264Regional, strong pressure on bullish stages, breaking through upwards to see bullish start rising again, with targets above1272-1280之上,进一步冲击1300关口;受压则看调整,不过对于调整的幅度,当前十分有限,上个交易周低点1240-1244区域昨日再次反弹,这里继续是周内关键支撑;守住,多头就还有反弹,看继续冲击1260-1264强压力区域,下破则看跌1233-1225区间!所以,当前行情我们就震荡对待。
Gold operation suggestions
1,1259-1260Short range, stop loss1265, look at the goal1251and1246;
2,1248-1250Regional long, stop loss1244, look at the goal1255and1260
beautifulcrude oiltechnical analysis
原油,昨日提及大家关注油价冲高回落,日内关注51.8-52美元压力区间,这一压力区间给得很到位,尤其是晚间美国库存数据!数据显示,美国原油库存增加156.6万桶,高于预期-43.5万桶以及前值+86.7万桶,数据公布后行情快速下跌,盘中虽有反弹,但美盘二次下跌最终日线以带有长上影线的中阴线收尾,日线看做倒垂头星形态,很明显的看空信号。对于今日观点明确,就是看跌;日内需关注昨日美盘反弹后二次下跌位置51.3-51.4美元区域,预计今日还有反弹,反弹不破这里看再次下跌,一旦上破则还有冲击昨日高点的需求。下方来看,支撑很明显,昨日早上我们强调的位置50.8-51美元区域,当前和47美元第三次上涨多头趋势支撑重合,所以这里是今日关键支撑,上方有反弹,下破空头打开下跌空间,下方看跌49.5-48.4USD.
Suggestions for US crude oil operations
1、51.3-51.4美元做空,破51.9USD, target50.8and51.7Break the position to see50dollar
Analysis of Silver Technology
白银,高位震荡等周五非农来指引方向了,这两周行情都以高位震荡为主,上方面临18.5美元前高的压力,下方一直在18美元一带支撑,就这样一直震荡啊震荡,操作上只能短线,方向选择是非农的事情,我们不可能在现在就去提前选,昨天想在18.35美元尝试做空白银,看非农之前会不会出现获利回吐,但现在时间有些不够,不过今天白银也不大可能突破18.5美元前期高点,仍然可以小空参与,反正也还是高位震荡的概率大,做空之后想短线的短线赚点小钱,不想短线的可以拿到明天非农前再决定去留。
Silver Operation Suggestions
1、18.35-18.4Short selling in US dollars, stop loss18.6US dollars, look at the target18and17.8dollar
根据持仓状况主动解套
1When lightly trapped, you can use the rebound market to unwind and exit, or reduce positions when high;
2Investors who hold high positions can also make operations to reduce their holdings based on their holdings. If the funds being held are not too serious, they should directly cut their positions, stop losses, and unwind them. Although there may be losses, the risk of capital loss has been minimized, so that they can take the initiative in psychological and financial aspects in the next wave of the market.
3When deeply trapped and there is still room for further decline in the future market, short selling can be used to reduce losses, which can take into account the principal and effectively unwind the trap.
第二、根据买入状态来作出处理
1If the price purchased is at a high level during the lockdown, the loss must be immediately stopped.
2If the purchased price is in the middle range, you can temporarily wait and see based on the situation at that time, in order to unwind and leave the market or reduce losses when the position is high.
3、如果所买入的价格处在低位,金鑫建议不必急于止损,应该在所买入的价位下跌企稳之后,在重要的支撑位敢于低位补仓,摊薄成本,在接下来的反弹行情中将高位套牢的仓位一同救出来。
第三、根据买入趋势状态来作处理
1If the price of the purchased item is in an upward trend, there is no need to stop the loss. As long as you patiently wait for a period of time, it will naturally unwind, and there may even be a possibility of significant profits.
2If the purchased item is in a balanced and volatile trend, there is no need to immediately stop the loss, just patiently wait for it to enter the high point of the volatility cycle. When the situation is resolved or the loss is very small, there is no need to be greedy to immediately exit the market.
3If the purchased price is in a downward trend, once it is confirmed that the downward trend has formed, the loss should be immediately stopped and there should be no illusions about the existence. Any hesitation or hesitation may make investors deeply trapped and have no way out.
第四、采取向下摊平的方法
即油价下挫幅度扩增反而加码买进,从而均低购油成本,以待原油价格回升获利。因为原油市场本身的定价决定了不可能出现较大的跌幅,必然会有反弹的空间,这时候买入,等待原油投资市场产生一波反弹就可以解套出局,但采取此项做法相当危险,必须以确认整体投资环境尚未变坏,市场并无由多头市场转入空头市场的情况发生为前提,否则,极易陷入越跌越买但油价就是不回头的窘境,结果只能说恶性亏损。
第五、等待形势以不变应万变
在单子被套牢后,只要仍未脱手,就不能认为投资以亏得血本无归,如果手中的单子有发展前景,且投资环境尚未恶化,市场行情仍未明朗时,应保持冷静,等待价格回升解套的时机,不应盲目将套牢单子卖出,当行情明朗时,把逆势单解掉即等于切断了损失源。但要注意,逆势单并不等于亏损单。另一顺势单可选择行情走得差不多了再平。
第六、高开时的两套解法
1.Radical type, with a good solution, can lead to no loss of exit or even profit, but the risk is that deviations during the order solving process will lead to being trapped again. Multiple short orders are in hand, and opening high will directly flatten the long orders. Waiting for a pullback, buying dips to reduce short positions until they are completely sold out. This plan can make money by opening high long orders, gradually reducing short orders through a pullback, which can also reduce losses. A more aggressive approach is to wait for the low point and then level the short order, but personally, it is not recommended to level the short order at the low point at once. The best solution is to take dips and reduce the short order.
人一生常常在不断奔跑,而奔跑不在于瞬间的爆发,取决于途中的坚持。很多时候成功就是多坚持一分钟,只是我们不知道这一分钟会在什么时候出现。所以,在一切尚未定论之前,我们不要停下脚步。因为我们放弃的不只是一个事业,更是一个梦想!每天送给自己一个礼物,那就是自我鼓励,自我肯定,自我超越!每一位在读这篇文章的人,感谢与你相遇!!简单的一篇文章,希望会帮助你。
Author of this article, Jin Xin Wealth从事金融行业多年,研究国际局势和热点事件。对foreign exchange,黄金、白银原油、及股票、等有深入的研究。每天行情波折不断,我所能做的就是用我多年的研究经验,给大家分析每日实时行情、 |
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