刚刚过去的一周,无论是foreign exchange市场还是黄金市场,整体波动令人咂舌,美元指数大跌创逾三年新低,周线录得六连阴,欧元、英镑等非美货币大幅上涨,现货黄金亦一度刷新一年半新高至1366.05dollar/盎司,除了欧洲央行行长德拉基鹰派言论的影响,美国财长努钦关于美元的言论被市场误读,给美元指数打压最为明显。
接下来的一周也不会太过平静,首先将迎来的是美国12monthPCEPrice Index and Eurozone Fourth QuarterGDPData, followed by Federal Reserve interest rate decisions and the United States1monthISMmanufacturingPMILastly, there is the United States12The non farm payroll report for the month is finally released, and investors need to arrange their positions and avoid risks reasonably.
Analysis of Gold Market
黄金周线企稳5均线收大阳线,日线走出一个顶底转换的多头走势,周五收阳十字星,短线有回踩的风险,4Looking at the hourly chart,k线运行于布林带中上轨间,布林带依托中轨开口向下,短线陷入调整走势当中,目前KMaintain the lineMA5/20之间运行,随着运行空间不断的缩减,后续依然需要打破目前走势,开启偏震荡的方向性选择,指标上,MACD持续下跌,与K线形成背离,下周下方关注1345-1340Support, attention from above1356-1366Pressure level
Recommendations for Gold Operations
周线收阳上行,企稳5均线成多头K线形态,从日线来看,布林带开口向上上行,MA5Mean Square andMA10The moving average shows a gentle upward trend with a golden cross,KThe line closes below the upper Bollinger Bands,MACDThe fast and slow lines show a dead cross near the adhesive state and flatten to the right, exhibiting a neutral performance,KDJ三线初交死叉朝下发散运行,行情多头暂缓有一定的回调趋势,4From an hourly perspective,K线收在布林上轨下方,布林带开口向向,从指标来看,RSIHigh position turning head downwards,Stoch指标运行高位,原油短线偏向调整,上方关注66.7and68一线压制,先看回调后考虑低位多,下周下方关注65.5and65一线支撑。周尾在66.2附近做空的朋友,短期关注上方66.5-66.7suppress
Recommendations for crude oil operations