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London Gold(10month24day)

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worldgoldassociation(WGC)周二表示,第三季金价的波动性下滑,尽管此前因美元疲势金价创下28A new high in the year.WGC称全球信贷风暴引发的黄金避险买盘,以及黄金上市交易基金(ETF)吸引大量投资流入亦推升金价。WGC称第三季黄金的价格波动性均值略降至11.4%,上季为12.3%.9月流入黄金ETF的投资尤为明显,新增76.9Tons of gold.

金价昨日波幅有限,主要游走于756to761区间,明显见黄金处于整理趋势。虽然美元周一强劲反弹,但是迅即于周二延续颓势复再回挫,推动金价曾触及高位760.90美元。另一方面,市场预期OPEC将提早增产,crude oil价格昨日收低,跌至85美元,迄今为止已连泻三日,短期仍呈向下回撤风险,此亦拖累金价近日表现。结果两方之拉扯动能遂将金价陷入窄幅区间内争持,加上今晚美国公布房市数据,市场在此前属意于审慎待之。数据亦过于疲弱,可能会加强下周降息之预期,甚至诱发减息半厘之臆测;然而,由于数据疲弱已早为市场所预料,故疲弱程度若不及预期,或只与预期相若,则对金价助益有限。此外,这一句格言,于近期数据中都似乎见充份表现出来 -- "buy on rumour and sell on fact",传言买入,事实卖出。

技术分析显示,10month4日低位见于720.70USD,10month9日低位为726.70美元,连同昨日低位至745.50美元,可合成一短期上升趋向线,支持位至今日见于749.80水平;较审慎亦可进一步观望25Balance moving average744.0水平。自八月尾升势金价未曾失陷于25天平均线下方,因此两线区域749.80and744.00美元将被视为目前关键,金价跌落此区下方将见金价出现较明显之下调。若以黄金比率计算,自8month16Daily low641.10to10month19Daily high770之升幅,其23.6%之潜在回调幅度为739USD,38.2%则会看至720.10USD.9周平均线处于729.90美元亦可参考为一中段支撑。再者,随机指数终见自90水准出现回落至83水准,MACD则维持扩大负离差,同样为利淡之技术讯号。预估阻力方面,首要将先直指763.60水平,突破才见升势得再延续,进一步较大阻力预计为766.60and771.00USD.

London Gold 10month24day
Predicting early wave amplitude:757.50 - 763.60
Support bit:754.80 - 749.50
Resistance level:766.60 - 771.00

(Analysis provided by Zongheng Huihai Research Department | www.MW801.com )
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