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美国政府部分停摆的情况将在北京时间12month27day13:00进入第六天,因特朗普要求为修建美墨边境墙提供经费,美国白宫和国会就此事仍然僵持不下,美国商 务部在政府关闭期间停止发布经济数据,本周的新屋销售等数据将暂停公布,不过非农数据由美国劳工部发布,可能不会受到影响。
Wednesday(12month26日)美crude oil价格暴涨逾9%, creating2016year11月以来最大单日涨,俄罗斯表示OPEC及其盟国必要情况下愿意减产以帮助稳定石油市场。同一天,美国股市亦实现2009year3月以来最大单日涨幅,导致首次收涨千点,标普500指数创九年半最大反弹。由于大宗商品价格、股市回暖,市场的风险偏好略有上升,VIX恐慌指数重回30Below.
SpotgoldOnce refreshed6month19The highest point since the beginning of the day1279.11dollar/盎司,后冲高回落。不过,美国政治动荡格局依旧刺激黄金的避险需求,黄金仍有望创近两年来最大单月涨幅。
4小时来看,金价短线回落风险加剧,金价在触及新高之后连续两根大阴线,并且形成一个看跌吞没形态,MACD高位死叉且MA均线的涨势也开始放缓,这些迹象都暗示,黄金短线面临较强的回调压力。综合来看,今日操作思路上以回调做多为主,高空反弹为辅上方关注1278-1280One line of resistance, pay attention below1266-1268Frontline support.
Suggestions for Gold Operations:
1:下方回调至1268-1270Long on the front line, stop loss4US dollars, look at the target1276-1278frontline;
2: Bounce from above to1276-1278一线短空,止损4US dollars, look at the target1271-1273frontline;
盘间行情实时变化具体操作策略以周鸿金Ⅴ/Letter(zh66646)Guidance based on actual offer!
日图大阳吞没前一日阴K线,一直提到的止跌组合K线形态出现,只是这种形态没有伴随下影线的回升,属于慢跌后的整理然后强行反弹并且收在高位完成短线反转,日图附图指标也开始底部背离。日图领先轻微止跌。中期能否止跌还需要周线确认。短线图连阳反弹收复有一日高点,打破台阶弱势下跌格局,短线转震荡,由于日线的阳包阴止跌,使得短线倾向震荡多头反转。综合来看,今日操作思路上以回调做多为主,高空反弹为辅。下方关注45.0-45.20一线支撑;上方关注46.8-47.02A line of resistance.
Suggestions for crude oil operation:
1.Bounce up to46.3-46.5Short on the front line, stop loss0.4US dollars, look at the target45.1-45.2
2.Lower callback to45.1-45.3Long on the front line, stop loss0.4US dollars, look at the target46.5-46.8
Disclaimer: The above analysis only represents the author's personal opinion and does not constitute specific operations. The article has a lag effect, and based on this, profit and loss are the responsibility of the author. Investment is risky, and caution should be exercised when entering the market.