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吴昊诚:5.24黄金,原油早间亚盘速评

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[sup]Early morning2点公布了5月美联储会议纪要,由于部分官员的讲话不够强势,被市场解读为鸽派信号,在纪要公布前后,美联储6Monthly interest rate increase25Bps to1.75%-2%区间的概率从100%Descend to95%,尽管概率依旧很高,但是还是带来了一定的影响。美指小幅下滑,goldShort term pull-up5美元,日线小幅收阳,crude oil方面由于晚间EIA库存数据大幅利空,油价一度下跌至71.1附近反弹,日线小幅收阴。[/sup]


[sup]  黄金日线上延续震荡走势,日内遭遇了两次机构的多空较量,金价一度上涨至1298.5一线,这也是均线MA10的压力位,目前来看,均线MA5保持勾头向上,MA10,MA30以及布林带三轨持续下行,MA10压力位进一步下移至1296.5一线,大趋势依旧空头占优,日内关注金价是否会突破均线MA10Pressure level.[/sup]


[sup]  4小时线同样震荡走势,多条均线粘合在布林带中轨附近,波动的区间稍微变大了一点,1287-1299,这也是今天的支撑和压力点位,综合日线走势来看,整体策略暂时不用改变,依旧以高空为主。[/sup]


[sup]  黄金策略:黄金1297一线做空,目标1290Nearby, hold the position and take a look1282附近,多单盘中看情况给出。[/sup]


[sup]  原油方面,由于EIA库存数据大幅利空,油价晚间一度下跌至71.1美元,随后又快速反弹,从目前的小时线走势来看,k线连续收取6根阳线,短线走势偏强,目前油价也再度回到72.0Around the US dollar.[/sup]


[sup]  日线连续收取两根阴线,k线跌破均线MA5的支撑,一定程度上有回落的迹象,整体策略要做一个改变,更稳健一点,下方支撑看71.2美元,上方压力看72.8美元,靠近压力支撑点位附近进场,获利后及时离场。[/sup]


[sup]  原油策略:保持低位做多的思路,下方看71.2的支撑,上方看72.8The pressure.[/sup]


[sup]  文章具有时效性,以上分析仅供参考。[/sup]


[sup]Wen/吴昊诚[/sup]
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