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Xu Bohong:6.9美联储加码放水黄金千七为分水岭!这样做利润手拿把掐!

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  投资和对弈是一样的,舍弃一些局部得失而求得全局的主动和优势才是明智的选择。当点位已经很低的时候还只看到风险而看不到机会,或者在点位已经很高的时候还不知控制风险而盲目追逐利润,只能是得小利而失大体,得局部而失全局,这都是不知适可而止和缺乏大局观的表现。纪律是一百多年以来交易市场上各种成功和失败经验的高度总结,是用无数金钱和心血所换来的成果。翻开交易历史,你就会发现市场有时是多么幼稚可笑,多少人曾经犯过多少幼稚可笑的错误,然而现在和将来这些幼稚可笑的事件必然会重演,因为虽然市场在前进,时间在前进,但人性不会变,人类对金钱的贪婪和恐惧不会变,人类想征服自然和市场的欲望不会变,绝大部分的人很容易忘记历史,也不愿意去看看历史,这导致他们根本就不可能真正理解纪律,或者尊重纪律。一切都是崭新的,我们就是时代的主人,很多人就这样来认识市场。好了下面来解读下goldcrude oil后市的行情。
  
  黄金行情解析:
  
Tuesday(6month9day)亚市盘中,美元指数持稳于96.70附近;现货黄金短线快速拉升,金价突破1700dollar/盎司关口,并一度逼近1705dollar/盎司。分析师指出,美元疲软以及投资者对美联储维持鸽派货币政策立场的预期都利好金价走势,此外,朝鲜局势也传来最新消息:朝鲜宣布彻底切断一切朝韩通讯联络线。这一消息引发市场避险情绪升温,从而推动金价进一步上涨。因市场预期美联储将采取鸽派货币政策,金价在前一交易日大跌后,周一(6month8day)上扬。现货黄金周一盘中最高上涨至1700.40dollar/Ounces, lowest dip1677.03dollar/Ounces, closing1697.62dollar/Ounces, up12.39USD or0.74%。周二亚市盘中,现货黄金短线急涨约5USD, highest hit1704.66dollar/盎司。指导热线:{xbh768}
  
  ——黄金行情走势分析及操作建议——
  
  黄金昨日受到1680支撑后反弹修正,最高触及1700区域,在美盘行情震荡难跌,我们及时改变思路,当前行情延续反弹,早盘继续关注1700关口压力,突破顺势多,上方压力1720!黄金在日线级别上属于宽幅横盘整理走势,一般来说,震荡是比较稳固的行情,所以黄金在上周如此强势的下跌后还是在区间下方1670位置获得支撑反弹!1700作为短线多空分水岭,突破则预示行情会进一步上行,接下来测试的是区间中位数1720的压力!
  
  今日早盘关注1700整数关口,突破顺势进场干多,上方必将测试1720压力!只有突破1720位置才能表明当前的震荡区间依然完好,如果遇阻1720再次回调至1670区域,则表明行情再次下跌破位的可能更大!从短线的操作角度来看,黄金当前的反弹依然是对上周下跌的修正,而1700没有有效突破前,操作上不要轻易的追涨杀跌,而今日如果遇阻1700出现回调,我们就在1685附近准备接多!行情千变万化、点位仅供参考,投资有风险、入市需谨慎。
  
  原油行情解析:
  
  随着大萧条以来最严重的经济衰退显示出触底迹象,全球各国政府和央行从挽救经济的模式,转向提振经济复苏的模式。5月份全球经济增长年率为-2.3%, better than4Of the month-4.8%,全球经济增长年率跌幅有所收窄,美国5月就业数据好于预期,暗示之前的刺激措施有所成效。市场预期,随着疫情封锁措施的放松,各国政府和央行还会加大支出,以支撑经济复苏。 这从供需两端来看都是利多原油的,并且供给端方面 OPEC同意将现有的减产再延长一个月后,包括俄罗斯和沙特在内,且OPEC在持行减产率上相当的高。
  
  ——原油行情走势分析及操作建议——
  
  美原油连续六周收阳,这是今年以来首次连续六周上涨,不夸张的说持续的一路新高过程中,从目前趋势来看,原油处于强势向上的态势中,目前多头表现强劲,但是已经没有合适的位置参与多头,因此,只能等待价格回撤后在找机会参与多头,目前已经接近回补缺口40区域,那么当下是能一口气到位,还是慢性回调修正后冲高,我们仍需好好琢磨,否则高位多,出现大幅修正将得不偿失,在加速过后,一般会高位整理下,但也会偏强运行的。从4小时来看,原油依然处在上升趋势当中,前高前低逐步向上抬高,目前也走出了一条比较标准的上升趋势线,趋势依然健在,趋势不会立即停止,具有较强的延续性,多头再次向上延长,如果价格小幅回撤后短线逢低参与多头,不回撤不要追多。综合来看,今日操作短线思路上徐博鸿建议以回调做多为主,反弹高空为辅,上方短期重点关注39.6-39.8Frontline resistance, short-term focus below37.4-37.6一线支撑。行情千变万化、点位仅供参考,投资有风险、入市需谨慎,详情关注徐博鸿:xbh768。
  
GoldKLine theory:
  
The theory of relative position is goldKThe second largest theory of line theory. As the saying goes, oranges born in the south are called oranges, which are sweet and sweet;Born in the north, it is bitter and astringent, known as trifoliate orange. The same seeds, grown in different environments, have vastly different results. Same, exactly the sameKLines, if placed in different relative positions, have a completely different guiding effect on the future market.KThe position of the line is crucial for analysis and judgmentKLines are extremely important. goldKThe theory of relative position of lines includes the following two meanings:
  
UsuallyKThe position of a line does not have an absolute high or low point, so we can only use relative position to represent it. This depends on an individual's judgment of the market height and requires a certain level of understanding, but we must make a simple distinction. It is generally divided into three positions: relatively high, relatively low, and halfway up the mountain. Because high and low points are not absolute, there is no need to overly demand accurate positioning, just give a rough distinction.
  
It is generally divided into three types: upward trend, downward trend, and consolidation trend, also known as upward channel, downward channel, and horizontal consolidation. At a relatively high levelKSpecial attention should be paid to analyzing whether the main force needs to wash the market or if there is a change in the overall situation, and the main force needs to ship at a high level. Generally speaking, the main force washing the market will fluctuate sharply downwards, making it easy for people to be deceived;However, if the main force wants to ship at a high level, it will be very gentle, giving people a feeling of needing to adjust at a high level and continue to hit higher peaks. By observing and calculating the inflow and outflow of the main force's funds, it can be found. Nine out of ten retail investors compensate for this reason, always being deceived by technical data and confused by the main force. Relatively lowKGenerally, the line falls to a certain extent, so there will be a relatively low level, but whether the incoming buying is awesome depends on the subsequent trend. Low position long and short positions are usually fought back and forth, whenKThe smaller the amplitude of the line, the more reasonable the price range has been organized. At this time, the normal trading volume will be relatively low. If there is a continuous upward or downward long lead or cross star, and the trading volume starts to rise, it indicates that the market is about to change. At this moment, it is necessary to constantly pay attention. If the main funds are continuously entering but the price fluctuates little, then buy decisively, When the main force builds up their positions, they will give up suppressing prices and turn to aggressively entering the market to start pulling up, usually starting with a bullish candlestick. A sharp rise in prices is relatively important, but it should be combined withK线和成交量综合判断,价格不升不降不一定是坏事,是酝酿下一次的暴涨。关于今日的操作,本人将会在卫//letter(  xbh768)在线指导,同步龚重浩:徐博鸿 ,准确率百分之九十以上,徐博鸿 guidance(Every day, the Asian, European, and American markets provide timely analysis and direction), free guidance
  
Fund management is one of the core contents of trading systems, and its essence is risk management. The core logic of financial markets is that potential returns are equal to risks. Pursuing higher profit goals will inevitably face greater risks. Trading is valuable in the long run, and trading operations should pursue a balance between attack and defense. All positions and significant losses are the result of heavy attacks and light defenses. Fund management mainly involves building positions, stopping losses and profits, increasing positions and reducing positions, and so on. Here is only a brief explanation of warehouse construction. Assuming you use a1000Using USD accounts for international gold trading(XAUUSD)Margin trading, current market price is1390USD, you are considering setting the stop loss at a new high and then moving back to the previous low1381Below the US dollar1380On the position of the US dollar, the target price is considered to reach a new high1440Below the US dollar, per transaction2%Loss rule (usually recommended for classic trading)1-2%(Small funds can be adjusted accordingly), what is the amount of loss you can bear20USD(1000USD x0.02)In this way, you can only pay the market price1390Establishment of US dollars0.02Buying multiple positions by hand(20÷10)The profit and loss ratio is approximately5:1. If you use1385Set a price limit for buying orders in US dollars, and positions can be set0.04Hand(20÷5)Profit loss ratio1:10Left and right. Of course, you can also adopt the fixed position method, using a secure fixed position for each order placed over a period of time.   
  
  本文由徐博鸿(指导热线:xbh768)Original submission, I interpret world economic news, analyze global investment trends, and have in-depth research on commodities such as crude oil, gold, and silver. Due to the latency of online push, the above content is personal suggestion. Due to the timeliness of online publishing, the suggestion is for reference only. Any operation based on this is at your own risk!
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