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Spot Yuejin Shi:8.31月底收官之战,黄金行情分析操作建议及解套。在线解!

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投资就是这样,你信任我,我就有信心带你赚钱!我即是你的技术指导老师,也是你的心理分析大师!投资改变生活,我们改变投资,你在为投资赚不到钱苦恼,为套单而伤,为割肉而心痛,我只想告诉你,你这不是投资,想盈利得靠系统全面分析行情,小止损博取大额利润,一切只为实战盈利。最近的行情,可谓是一波接一波,很多人被苦苦深套,套牢之后我们任何操作都是被动的。我们应该适时地进行减仓或斩仓,如果是保证金交易的话,还会被强行平仓。无论结果如何,我们都会经历一段艰苦的心理历程。被套之后,才真真切切地体会到,进场是如何的重要!现货悦金师(yjs70022)



——近期市场有哪些消息因素压制gold走势?黄金多空如何演绎?——



   首先对于早间黄金开盘于1965附近,现货黄金早盘初站上1970dollar/盎司,那么早盘现货黄金盘初拉升10The US dollar has risen to a maximum of1975附近一线止步迎来回落、现货白银涨势更猛,站上28dollar/盎司,日内涨超2%。美元兑日元一度短线拉升近30Point, report105.61、因美元大幅下跌支撑了黄金。美联储方面表示,可以让通胀在一段时间内超过2%的目标,似乎他们将保持极其宽松的货币政策,这也将有助于推动金价走高。



   市场目前最需要关注的当属大小非农。市场预计美国8月季调后非农就业人口将增加151.8万人,低于前值的增加176.3万人;预计美国8The monthly unemployment rate is9.9%, previous value is10.2%。不过加皇银行指出,就算非农就业人口录得200万,失业率回落至10%,美国也仅仅是从3-4Of2200万失业报告中恢复了一半。



   重要讲话方面,本周多位美联储官员将密集发表讲话,就货币政策和经济前景作出表态、周一21:00美联储副主席克拉里达受邀参加彼得森国际经济研究所主办的美国货币政策介绍和讨论、周三美联储理事布雷纳德受邀在布鲁金斯学会哈金斯中心财政与货币政策线上活动,就经济前景和货币政策发表讲话。美联储“三把手”威廉姆斯也将出席布雷顿森林委员会主办的研讨会、周四2020yearFOMC票委梅斯特将就美国经济前景和货币政策发表演说,另外美联储还将公布经济状况褐皮书。



风险事件方面,日本首相安倍晋三8month28日意外宣布因健康原因而将辞职,日本首相安倍辞职后的政坛动态,与此同时,随着美国大选的不断逼近,也需关注拜登与特朗普的进一步消息。接下来的动态或将进一步影响黄金市场行情。另外,沙特目前局势似乎并不稳定、若冲.突.rise.级,恐将引发市场的恐慌情绪。

——黄金走势分析及操作建议——



技术面来看,黄金近期的行情宽幅区间的来回震荡,从日线来看阴阳的交错运行,基本是没有趋势可言,但是周五的行情日内的方向相对还是延续性较强,黄金上周收盘于1964附近,本周一,早间黄金开盘于1965附近,开盘多头即破位1969一线周线M5均线,由于消息面的刺激,黄金多头在当下占据了短线优势,对于这点,各位只需关注多头能否延续上破即可。毕竟市场来说,黄金目前的抛售能力也是较强的,对此,黄金后市若上破1980-2000区域阻力,往上将打开指向2000as well as2050等水平的空间。而若回落,则继续关注区间底部1920和上涨趋势线构成的坚实支撑区域1900-1920Area.



   Multiple order strategy



   一:黄金跌至1940-1942Nearby, stop loss1936Zhiying Kan1960-1970-2000Nearby



   二:黄金跌至1920-1923Nearby, stop loss1918, Zhiying1930-1940、坡段看1980-1990-2015nearby



   Empty order strategy



   一:黄金反弹至1980-1985Near empty, stop loss1990, Zhiying1940-1920nearby



   二:黄金反弹至1995-2000Stop loss without breaking the nearby gap2005, Zhiying1980-1970Band view1950-1930-1900-区间附近,



文中操作建议仅供参考,具体建议实盘现价给出,操作不理想或把握不了行情方向的朋友可添加现货悦金师指导vYour words:yjs70022Obtain guidance slots.




- -单子被套?在线解- -

  

  1.Investors who hold high positions can use the rebound market to unwind and exit, or reduce their positions when they encounter high positions; Once the market changes, the covered orders will immediately stop losing and be eliminated, and reverse positions will be established to compensate for losses;

  

  2.Investors with mid range hedging can temporarily wait and see, do not rush to cut orders. If there is an opportunity in the market, they can reduce their positions appropriately and increase their positions based on trend analysis combined with technical analysis to make up for losses;

  

  3.Investors who hold low positions can use the pullback market to unwind and exit, or reduce their positions on dips; Once there is a change in the market, the orders will be placed to stop losses and exit, and reverse positions will be established to compensate for losses.


  本文由现货悦金师(yjs70022)Contributing, I interpret the world economic news, analyze the global investment trends, andcrude oilWe have conducted in-depth research on commodities such as gold and silver. Due to the delay in online push, the above content is personal advice. Due to the timeliness of online posts, it is for reference only and at our own risk. Please indicate the source of the reprint.
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