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goldaspect:
Monday(4month12day)下跌,因美国国债收益率上扬打压了金价的吸引力,同时投资者在等待美国关键的通胀和零售销售数据,以衡量经济的健康状况。收益率上升仍是无法产生股息或收益率的金属市场的负面因素,至此,现货黄金周一失守1740关口,美盘一度跌破1730Pass to1727On the front line, there was a slight rebound in the end of the trading session, but ultimately closed down at1732Nearby. The US dollar index fell in the European market, narrowly missing out92关口,美盘震荡抬升,打压金价。今日晚间20:30To be announced in the United States3After adjusting the roseCPIThe monthly rate is expected to slightly rebound in the market, but the upward trend will be brief.
Gold market analysis:
现货黄金周一延续上周五走势继续下探,最低触及到1727一线便企稳上扬,日线连续收出两根阴线回落。行情自上周五承压高位1757-1758附近后开启震荡下行模式,不过到目前为止现货黄金还未暂时形成空头趋势,只能是以震荡偏空的思路对待。行情会有波折反复,即使是看空,也需要注重节奏,而不是着急追涨杀跌。
今日行情关注以下几点:
1、金价反弹受阻1757附近后承压回落目前最低跌至1727一线,下跌幅度达到30美金,表示偏多结构有所打破,毕竟1721-1720区域现在还没有进行测试和破位,所以只能说是有所打破,而非已经打破。那么在接下来的行情操作上以高空为主,低多为辅的思路去对待。但是不能着急追空,从1757进行的下跌,空头趋势并未形成,行情会有震荡反复的过程,因此日内主要关注阻力附近进行空单布局。
2The long short boundary of the market is1721-1720区域位置,若跌破1720关口,空头趋势形成,将会去测试1700关口,若守住1720关口不破,行情反弹,则主要关注1745附近的阻力,金价只有站稳其上方才能进一步的进行上涨,反之,则还是会出现受阻回落的走势,不过回落不会太大了。
综上所述,黄金日内高空为主,低多为辅,关注1721-1720区域得失,今日上方阻力位关注1740-1745Region; Pay attention to the support below first1721-1720brace
Operation suggestions:
1Gold rebound1740-1745区域附近受阻空,止损5US dollars, let's take a look at the target first1730附近,破位持有
2Gold falling back1721-1720区域出现企稳可多,止损5US dollars, let's take a look at the target first1730Near the area 
crude oil技术面分析:原油谢鸿远从日线来看,收成小阳十字,横向整理当中,并没有走出区间,宽幅震荡区间依旧在62.0-57.0.而至于日内的短线区间则配合当日的量能再决定。短线拉锯震荡不改,空间可能不会大,就是来来回回震荡。4小时线来看,在震荡中布林道开始收口。同时此前的区间也会打破,附图MACDindex0轴附近平行钝化。在酝酿单边行情的前夕,何时完成突破放量目前还不确定,而今天开盘的位置在中性的位置,离上轨和下轨都有一定距离,突破的机率较小,短线操作继续是卡区间做震荡。小时线来看,昨日油价小幅高开后反弹布林带上轨承压回落,周期均线走的较为凌乱,不过上行势能明显不强,短周期指标上行乏力。综合来看,原油今日短线操作思路上谢鸿远建议以反弹高空为主,回调做多为辅,上方短期重点关注61.8-62.3Frontline resistance, short-term focus below58.5-58.0Frontline support.
Suggestions for crude oil operation:
Empty Order Strategy One:
Above the rebound of crude oil60--60.3附近做空,十分之二仓位,止损0.5US dollars, look at the target59-58.5Nearby; Dislocation58Near.
空单策略二:
如空单止损,则61.3-61.5再次做空,十分之二仓位,止损1US dollars, stop profit view59-58Near.
Multi order strategy:
Below the crude oil correction58.5-58.8附近做多,十分之二仓位,止损0.5USD, target59.5-59.8Nearby; Break the position to see60.2Near.
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