昨日市场消息面众多,欧洲政治动荡令黄金多空拉锯,一方面,意大利可能提前大选,推升避险情绪利好黄金;另一方面,欧洲政治乱局打压欧元,利好美指利空黄金;双重作用之下黄金多空拉锯;另外5month29Recently, the White House suddenly announced that it will take action against China500Billion dollar commodity collection25%China has also responded strongly to tariffs. With the resumption of the US China trade war and the unfolding of political turmoil in Italy and Spain, the market's risk aversion has intensified. It is expected that the recent market trend will still be dominated by geopolitical risk factors, and gold will receive some support.
技术面上分析,就黄金目前的情况来看,黄金宽幅震荡,交投于1292.57-1306.53美元区间;技术面周线图上,金价两度回测1月以来震荡箱体底部受阻,布林带向下开口,偏空;日线图上,金价三度回测200Daily moving average and1月以来震荡箱体底部区域受阻,但MACD金叉,中性略微偏空;短线4小时图上看,金价最近一个K线收出超长下影线,说明黄金短期反弹力量压制过空头,短线还有进一步反弹的空间,上方直接阻力位于200Daily moving average and1月以来震荡区间底部所在的1307附近,更上方关注1310、1319.78;下方支撑位于1300USD1290、近期低点1282.11美元;不过目前金价持于布林待中轨线上,布林待持平运行,因此黄金短期趋势料延续震荡,短线运行的空间看布林待上下轨之间,1295-1305区域。短期操作上则建议在1295-1305区间内高估低渣,带4个点的止损。
市场行情对待投资者都是一样,而决定投资者盈利与否的其实在于自身的交易,成功者找方法,失败者找借口。交易的基本准则每天都在强调,时刻让自己在这个瞬息万变保持警惕,这样一旦行情机会来临的时候,你能够更好的预判风险,更坚定的执行操作思路,更及时抓住把握利润的机会!交易的过程其实是简单----complex----A simple process starts with our ignorance and lack of understanding of the market, while the complexity and concerns in the middle are due to our initial understanding of the market, but we cannot control it well. Therefore, we may be overwhelmed by market changes and feel too complex. But in the end, when we pursue and reach a certain level, we will find that the most effective is actually the simplest. Ultimately, we can gain a deeper understanding of the market, and once we are able to achieve simplicity, we can successfully win this market.
陆远晴--行情暴涨暴跌 追涨杀跌多空单被套怎么解?
接下来说下套单的问题,前面陆远晴说了,现在市场上套单的多数是前面高位追的多单,和前期低位追的空单;多单按照目前的情况来说,基本上已经没有什么套单了;问题比较严重的就是空单,前面黄金最低下跌至1282Nearby, so most of those who chase after the sky are1290下方的空单;现陆远晴在行情在1300附近,空单深套十几个点;到现在空单还没有抓住机会的朋友,陆远晴只能说你太过于贪心了。金价隔夜最低跌至1292,那么空单被套的朋友就应该想办法解出来;总是期望行情再跌一点,再跌一点;却发现行情没有如你预期走,空单也错过了最佳的解套机会。目前陆远晴认为黄金短期的趋势陆远晴认为震荡偏多,千三关口的争夺开刚刚打响;想要走出明确的方向还需要消息面的刺激;而短期行情先看震荡,不按照陆远晴上面的分析,先看1295-1305的区间;那么空单亏损不大的可以在支撑出场;亏损较大的先持有等待后面行情。由于陆远晴并不知道你的具体套单点位和仓位风险情况,而且很多时候行情走势瞬息万变,对照那些千篇一律的解套策略来操作,也许就是一瞬间的功夫就错过了最佳的出局时机。若需要解套的可联系陆远晴