This week(7month20Solstice7month24日),投资者需关注日本央行6月和澳洲联储7月的会议纪要,数据方面需重点关注日本6monthCPI,APIandEIAcrude oil库存,美国初请和续请失业金人数,美国和欧元区多国7monthMarkitmanufacturingPMI。事件方面需关注欧盟对经济复苏基金和刺激计划的讨论,这将决定能否达成协议提振欧元区经济。此外,投资者还需关注全球疫情发展情况,以及英国和欧盟的脱欧谈判进程。
目前,以荷兰为首的强硬派提议将欧盟复苏基金的赠款规模设定为3500100 million euros(之前是5000亿赠款,另外2500亿是贷款,总监7500Billion),欧盟官员表示,欧盟领导人在晚宴上没有展现出达成共识的迹象,预计北京时间周一(7month20day)亚洲时段会有进一步消息传出,投资者需要重点关注。上周五金价走高,现货黄金一度较日低回升逾16USD, to1812.03dollar/盎司,势将连续第六周周线上涨,因美国冠状病毒感染病例破纪录上升,加剧了对经济复苏的不确定性,美元再度走软也为金价提供了支撑。
从黄金日线来看:震荡加剧;布林线三轨向上,隔夜黄金跌破1800大关。目前,MACD有死叉迹象,但动能很弱。KDJ高位死叉,指数接近60。从趋势角度看,尽管黄金的价格在刷新2011year9月以来的最高水平后受到阻碍,但总体看涨基调保持不变,郭哲函建议选择做多为主。从好的方面来看,强劲的阻力仍然在关注1818年的前高点,这是2011year9月以来的最高水平。一旦突破了这一点,投资者就可以简单地关注对1830布林带的压制。上周五金价回落,虽然幅度不太大,但仍记录了一条小阴线,且目前跌破了MA10的支撑位,较低的MA20将成为最后的短期防御线,盘中震荡调整的可能性更大,综合来看,今日郭哲函建议上方阻力关注1818-1820First line, support attention from below1798-1795frontline.
Gold1805Multiple entry targets1812-1814First line, if the market stabilizes1812不破,反手可以做空!
(7Hot bookings for monthly return investment quotas, only remaining3Please contact Guo Zhe in a timely manner for specific plan settings and funding details
7Monthly investment return plan:
①1Less than ten thousand US dollars: fixed daily2~3Strategy, to maximize profit margin for early stage capital accumulation, and develop risk control profit loss ratio based on specific capital volume!(Expected return on capital rate40%about)
②1-5Ten thousand US dollars: Operate with a relatively stable and conservative plan, as the amount of funds is not sufficient. The operation is mainly focused on stability, with short-term profits as the main focus, without any radical operations.(Expected return on capital rate70%about)
③5-10Ten thousand US dollars: Similarly, we use a robust operation based approach to operate. Of course, we need to allocate a relatively large position and adopt a method of combining short and medium lines for operation. We use the middle line to grasp the band profit and the short line to prevent profit withdrawal.(Expected return on capital rate120%Left and right)
④10More than ten thousand US dollars: We provide a self selected operation plan for operation,20%Configure short-term positions based on left and right positions,30%Long term position allocation for left and right positions, without leaving any band out, striving for the maximum return rate! to configureVIPRisk control greatly improves the value preservation of funds, maximizing returns while reducing risks!(estimate8Arrival in month200%Left and right profit targets)!
⑤ Recently, there have been frequent major market trends, and we are particularly open5000USD Mini Warehouse2First name! Opportunities are rare! ​