The most important thing about investing2Point: Firstly, it is necessary to understand the analysis of a market trend; The second is to understand risk control, and as an investor, one should have a good mentality and correct investment concepts; Positive people see an opportunity in every crisis, while negative people see some kind of crisis in every opportunity; Faced with volatile market conditions, we must seize every opportunity. Seizing an opportunity is equivalent to seizing tomorrow! Message surface:昨日晚间公布的美国至6month23The number of initial claims for unemployment benefits in the current week is22.7万人,略高于前值21.8万人及预期22万人,初请失业金人数增幅大于预期,而失业金申请人数已连续四周下降,报告中称趋势仍与劳工市场收紧保持一致。周四公布的另一项数据美国第一季度实际GDP年化季率终值为2%,低于前值及预期2.2%,终值放缓大于预期,个人消费支出的表现录得0.9%,是近5年来最差水平,表明市场对贸易战的恐慌,给未来美国经济前景带来阴影。
From4小时来看,当前处于暴涨后回调整理行情中,K线结构上在上周五油价暴涨后连续突破上方阻力,目前油价在73一线震荡整理。结构上K线在近日弱势回调后展开新的上升浪,目前来看该主升浪并未出现太大的空头信号,也就意味着多头仍将是未来的主要趋势。油价短线上涨动能有所减弱,回调风险较大,初步支撑在72.20附近,布林线中轨支撑在70.70附近,短线涨势的38.2%Retraction position support70.08附近,如果意外失守该位置,则增加见顶风险。如果油价能够坚守布林线中轨支撑,则后市仍有机会震荡上攻。鉴于今天周五,谨防周末的消息面的变化,操作上一定要控制好仓位和风险。操作上建议第一次触碰73.80可空,防守74.55,目标自行把握;回踩72.65附近可以做多,防守72.1, Objective73.5-74。 Suggestions for crude oil operation:
1、73.80Nearby empty orders enter, stop loss0.5US dollars, look at the target72.80frontline.
2、72.65Multiple orders entering nearby, stop loss0.5US dollars, look at the target73.50frontline.