Register now, make more friends, enjoy more functions, and let you play in the community easily.
You need Sign in Can be downloaded or viewed without an account?Register Now
x
投资朋友们早上好:
不觉得人心智成熟是越来越宽容涵盖,什么都可以接受。相反,那应该是一个逐渐剔除的过程。知道最想要的是什么,知道该舍弃的是什么,而最后做一个简单纯粹的人。交易之中想要的太多,想掌握的太多,所有的太多展现在一起,反而成了混沌,均线表现多,JDK表现空,RSI又超卖。原则太多举步维艰,逻辑太多等于没有逻辑,思维的混沌配合行情的混沌,让市场成了遥不可及的玄幻。
最熟悉的莫过自己,最陌生的也莫过自己。最亲近的是自己,最疏远的也是自己。人生易老,谁也耗不起。打算好了,就别拖延。开始了,就别驻足。经过了,就别回首。结束了,就别愧悔。不过是走过、看过、经过,再坚持,故事也是独一无二,不会雷同。做好的经历各有不同,做坏的经历却大致相同,交易不过是不断的在拷问自我的过程,所有重复的错误和不舍最终酿成大错
gold资讯解读:
美国劳工部周五公布的数据显示,美国8月份就业增长缓慢,非农就业人数仅增加13万人,这在很大程度上要归功于人口普查工作人员的临时招聘。不过薪资增长保持稳定,当月平均时薪环比增长0.4%, year-on-year growth3.2%,均比预期高出0.1个百分点。在非农数据后,高盛调整了美联储9月降息预期,将降息50个基点的概率下调,现在预计降息25Basis points and50个基点的概率分别为90%and10%,此前预期分别为80%and20%。不过高盛维持不降息的概率预期为“不足5%”。金价周五走低,盘中表现拉锯,因为美国就业数据弱于预期,但美联储主席杰罗姆·鲍威尔表示并不预计经济衰退。黄金的炙热行情突然变得岌岌可危,不仅遭遇4月以来的首次两周连跌,其价格波动指标也大幅升高。在鲍威尔讲话后,人们放弃黄金白银等避险资产;波动性正在回升,当波动性回升时,它就变成了情绪交易。
早间黄金走势分析:
上周五黄金开盘在1517.99美元,亚盘阶段黄金小幅冲高1520美元后开始走跌,欧盘阶段下跌开始加速,最低下跌至1502.53美元,美盘非农数据公布后,利好黄金,金价得到鼓舞反弹向上,最高上涨至1527.75美元,不过涨幅并未能持续,凌晨后黄金开始走跌,金价再次跌至1504.79美元,最终日线在1506.57美元收取一根中阴线。
技术面上,黄金周四周五3连阴,将K线从布林带上轨直接跌至布林带中轨之下,触及MA30均线支撑点1502一线方才止住跌至,日线目前也是形成双死叉下跌形态,本周重点关注就是黄金是否会跌破1500整数关口,进一步冲击布林带下轨1488支撑点。4小时上,黄金连续收取带下引线KLine,MACD能量柱也在逐步减弱,快线开始向上勾头,表明黄金在1500一线支撑比较强劲,有反弹向上的动力。小时线上,MA5均线也是向上勾头,不过布林带三轨向下倾斜,表明还是空头占优,布林带中轨1512一线形成早盘上涨的关键点,如果早盘黄金能够站上1515美元,那么后续才会有比较大的上涨,操作上黄金可以在靠近1503一线做多单,上方1525进入空单。
Golden Operation Strategy:
1、1525-1526Short selling, defense1529, look at the goal1518-1516(short-term)
2、1503-1504Go long, defend1499.5, look at the goal1512-1513(short-term)
(盘间行情实时变化具体操作策略以万胜道金实盘为准)
对于套单下面万胜道金就当下常见的套单提出几种解套方式,仅供投资者做参考,我需要提醒大家注意的是,解套是在投资已经遭到损失的情况下的一种被动补救措施,而且存在继续亏损的风险,因此运用这些方法时应根据自身情况而定,不能盲目乱用,否则,搞不好会落得个“杀敌一百,自损三千”的结局。
Secret Method Point One:Underlying Replenishment
This is the most widely used and also the simplest way to solve the problem. When investors are trapped at a high level, they choose to hold their positions and then replenish their positions at a low level, which means buying the currency again at a lower price in order to unwind through a rebound or reversal in the market. When the market rebounds, the losses of buying multiple orders at a high level gradually decrease, while the profits of buying multiple orders at a low level gradually decrease Gradually increasing, in this way, even if the market does not return to its original height, investors are more likely to unwind. If the market develops well, there will still be opportunities for profitability.
Risk: Low position replenishment relies on market judgment, if the trend has already reversed or entered prematurely before rebounding Replenishing a position poses a greater risk of loss as the position is replenished, which is extremely risky for margin trading.
Secret Method Point 2:Inverse price difference[High throw and low suction]
The reverse spread, commonly known as "selling high and buying low", is also a very easy way to unwind, that is, when the market is in a range oscillation, it is often tied to a relatively high level to close the position, and when the market drops to a relatively low level, it is bought again, waiting for the high level to sell again, in order to earn the middle price difference and achieve the purpose of cost sharing.
Risk: The risk of reverse price difference is relatively small. As long as the upper and lower tracks of the oscillation range are relied on, operations can be carried out smoothly. However, if the oscillation range turns to the bottom, there is a risk of going short when selling on the upper track. If the oscillation range turns into a downward relay, there is a risk of being trapped again when buying on the lower track.
Note: When performing the reverse price difference operation, it is important to avoid paying too much attention to the hourly chart. Due to frequent fluctuations in the hourly chart, it may lead to errors in determining the entry and exit points and missing the best point. Multiple references can be made4Operate on hourly charts.
Secret Method Point 3: Reduce Positions During High Times
Reducing positions at high points, as the name suggests, is to advise trapped investors to cut positions early, but only if the investors have confirmed that the market judgment is incorrect, and the way is to decisively close positions at the high points of the rebound market, or to close a portion of positions. This is the bottom line in the strategy of solving the trap, a "escape" tactic adopted when there is no hope of solving the trap.
Cutting down warehouses is not without strategy. Reducing positions during high periods can be basically divided into two stages of implementation. The first stage is the "high period", which means that even if the main trend has contradicted one's original judgment, one must wait for a rebound market that is in line with one's own interests before starting to cut positions;The second stage is "reducing positions", and the reason why it is referred to as "reducing positions" instead of "cutting positions" is because reducing positions cannot be "cut off" in one fell swoop. All positions that have been shorted should be sold out in a single short, and should be gradually reduced in a step-by-step and planned manner. Firstly, investors should analyze the stage in which they are being held short, that is, confirm the development trend of holding onto the currency.
If investors believe that the trapped currency is currently at a high trend and is likely to reverse, they should make a quick decision and close their positions when the market slightly improves. For short positions, they should follow the "heavy to light" closing philosophy. If the empty sheet is divided into10Equal parts, with3Taking the second opportunity short selling as an example, the proportion of short selling at this time is roughly7:2:1. In short, the greater the risk, the faster you run.
If the market range oscillates, investors should "sell every high" and follow the principle of "tight before loose" for each sold short order. Because since it is a trap, there is a risk, of course it is better to leave early, and the short selling ratio at this time is roughly5:3:2。
If the market is at a low trend, that is to say, although the current market does not match the original judgment, there is a possibility of turning to the original judgment in the short term. Investors do not need to leave the market in a hurry. When the market partially rebounds, follow the "light to heavy" closing principle, and the short selling ratio is roughly3:3:4And the time interval for short selling can be appropriately extended, and even a small amount of covered positions can be left, in order to make a small profit after the market reverses.
Risk: The difficulty of reducing positions during high periods lies in how to confirm incorrect market judgments and the timing of decision-making. If the main trend of the market is consistent with one's original judgment, but the current trend is contrary to the original judgment, investors are likely to lose their profit opportunities in vain. However, if investors discover that the market judgment is incorrect, they may wake up later and often have caused certain losses.
注意:投资者套牢仓位越重,越宜早早逢高减仓,越拖损失越大。不懂的可以找万胜道金此时充分体现了“时间就是金钱”的道理。
你不理财,财不理你有钱不能任性,生财自然有道做投资请先咨询;万胜道金为你的投资保驾护航!
Full guidance time: early7:00In the early morning of the next day2:00(Never stopping on weekends, available for consultation at any time))
Comprehensive guidance teacher: Wansheng Daojin Analysis Team
Analysis writer: Wan Shengdao Jin V-You speak(ws94458)
作者赠言:王者绝非偶然,实力打造经典
Writing time:2019.9.9 |
"Small gifts, come to Huiyi to support me"
No one has offered a reward yet. Give me some support
|