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Friday(5month22day),国际金价反弹,国际关系紧张局势升级增强了gold的避险魅力,不过部分国家放松封锁限制后经济指标表现积极,料使得金价录得周线跌幅。金价周初曾升至2012year10Monthly high point1765.43dollar/盎司,但目前周线累计下跌逾0.6%。鸿远认为,基本面仍然支撑黄金。但欧洲和美国的制造业活动略微有改善,昨晚出炉的PMI数据略有好转。美国财长努钦上日表示,他认为美国经济将在第二季“触底”,并在第三季开始改善,第四季经济活动将出现“巨大增长”然而,国际关系紧张局势加剧打压冒险意愿,恒生指数重挫逾5%, creating4month2Recently, it has reached a new low22890.02点,领跌亚洲股市。这抵消了经济数据略微好转给金价带来的压力,进而支撑金价。
4小时走势来看,价格MA5日线刺破10日线,形成短暂回调局面,价格在触及下轨之后得到反弹,回到本周初1750-1718震荡区间,当前KDJ三线继续向下发展,MACD背离,绿色动能柱开始放量,上方借助1735震荡区间的压力位,还可以看回调在1720附近,短线MA5Rihe10日线为改变结构前,价格都将处于回调节奏,从小时来看,宽幅震荡;布林带开口,MACDGolden fork, reduced red energy column;KDJGolden cross, random index mild downward; This indicates that the short term long position of gold prices is insufficient, and there is a possibility of a volatile correction in the future. Follow below first1725Short term support, while also being subjected to10The double support of the moving average and the Bollinger Belt's mid rail is an important psychological barrier. If we fall behind, let's take a look1718,这是近期多次测试支撑位。综合来看,下周一短线操作上谢鸿远建议以回调做多为主,反弹做空为辅。上方重点关注1745-1750Frontline resistance, focus on below1720-1717Frontline support.
Suggestions for Gold's next Monday operation:
1The rebound above the gold does not break1745-1750Short on the front line, stop loss4US dollars, look at the target1735-1733frontline;
2The pullback below the gold does not break1725-1727Long on the front line, stop loss4US dollars, look at the target1736-1738frontline;
4、8Over ten thousand US dollarsVip仓,我们提供自选操作方案来操作,用20%To configure short-term positions, use30%To carry out long-term position allocation, we will not miss any band, taking profits of all sizes to achieve maximum profitability!