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肖宇梵:脱欧谈判来临,白银原油走势解析及操作策略

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  消息面分析:  
  crude oil市场存在的难题仍然是高企的原油库存,OPEC减产“不敌”库存危机,油价四周连跌,上周下跌1.79%,金融市场“三英战吕布”大戏刚落幕,本周,英国脱欧谈判又将携威而至!加上持续的供给过剩局面令原油市场依旧处于极度压抑的状态,不仅如此,根据最新数据显示,美国当周石油钻井总数升至2015year4月以来新高的747口,且为连续第22Increase in weekly records,反映出目前页岩油生产效率正处于顶峰状态,但油价正录得2015year8月以来最长的单周下跌周期,主要因利比亚提高原油产出,且美国原油库存并未出现减少迹象,油价形势严峻。
  
  原油技术面解析:  
  周线看四连阴,布林带开口发散,油价延下轨运行,后市预计继续下行;日线看,周五结束三连阴,收阳,布林带开口运行,K线位于布林下轨上方,MA5AndMA10死叉向下,附图MACD死叉运行,绿色动能柱放量,KDJ三线拐头向下;4小时图看,布林带开口运行,K线位于布林中下轨之间,MA5AndMA10均线拐头向上有金叉之势,MACDFast and slow line bonding, green kinetic energy column shrinkage,KDJ三线拐头上扬;综上,肖宇梵认为油价大方向仍以空头对待,但上方反弹动力充足,继续关注上方44.8-44.9一线阻力,操作上反弹高空为主。
  

  原油操作策略:  
  1Suggestions44.80—44.90Short selling, stop loss0.5, Objective44.1关口;  
  2Falling back44.1Buy long near the US dollar, stop loss0.3, Objective45.2;
  
  白银技术面解析:  
  银价亚盘同样是震荡走弱,盘中一度跌穿16.6美元关口支撑;日线图上,宇梵分析银价在跌穿布林带中轨线后持续受到压制,而目前银价距离下轨线支撑16.4美元附近还有一定的下行空间,布林带缩口迹象明显;日线上银价预计继续震荡下行,下方目标暂时看到16.4美元附近;短线四小时级别,k线运行于布林带中轨线相仿,布林带持平运行;附图指标上MACD双线持平,KDJ三线走平;四小时图上银价偏震荡;综合来看,今日操作肖宇梵给出高空为主,低多辅助。
  

  白银操作策略:  
  16.8Short near the US dollar, stop loss0.1Points, target16.5美元附近;  
  16.50Long nearby, stop loss16.30, Objective16.80, hold against the limit.
  
  个人投资者,凭一己之力面对市场,很容易出现当局者迷的情况。商场即战场,顺势而为,选择合适的合作伙伴变得异常重要。实力不够,伙伴来凑。老话说的好“三个臭皮匠赛过诸葛亮”。笔者肖宇梵是金融投资分析师,从事金融行业多年,研究国际局势和热点事件。金融领域博大精深,每天行情波折不断,我所能做的就是用我多年的研究经验,给大家帮助。
  
Text: Xiao Yufan
  
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