Friday(3month4day)In the Asian market,goldfutures维持升势,目前交投在1942dollar/盎司附近。因有报道称乌克兰扎波罗热核电站起火,市场避险情绪迅速升温,美元指数与黄金这两大资产短线急涨,金价刚刚站上1950dollar/盎司关口。美国stock market index期货短线急跌,油价也大幅上涨。黄金市场关注俄罗斯和乌克兰之间的和平谈判。很多人认为,在俄罗斯经济因制裁遭冲击的情况下,普京可能同意停火。乌克兰总统办公室顾问波多利亚克3日表示,俄罗斯与乌克兰的第二轮谈判已经结束,双方就人道主义通道事宜达成谅解。
周四黄金继续走震荡,三盘涨跌不一,亚欧盘重在慢涨,美盘行情表现扫荡,周四失业金的表现利空黄金,但一直没有破位强势支撑1920点位,所以,午夜盘黄金出现二次上涨,整体收高表现。周四给出1932Empty,1927多成功获利。早盘受市场影响,黄金出现二次暴涨空间,最大一波力度至1950高点,在盘面表现中刚好在H4周期的布林上轨之下,同时,1950也是本周的高点,暂时形成了双顶表现,今天行情的重点点位就在1950,破位继续看涨至1962/1974,不破则看调整震荡,还有机会去1920低点。今天周五,黄金的重点行情在美盘非农数据上,在目前局势不稳定的基础上,美联储的表现也极其强势,黄金会走出较大幅度的表现,预计今晚数据会走出扫荡,不会走单一方向,大区间还是保持1950/1920,破位任何点位都有可能走出小单边力度。等待数据公布之后再看。对于日内行情而言,早盘冲高至1950后回落,基本确定美盘之前的高点在1950,短线可在顶部点位做空,看震荡回落空间,高点压制在1945,回落空间看1928, of which1928不破可顺势多,再看顺势力度。美盘非农数据另作预测。
Three conditions for the success of the gold and crude oil market:
1Seize opportunities well. The gold and crude oil market is24小时交易的市场,但在亚盘市场金价的波动不大,而在欧盘市场,特别是美盘市场价格波动比较剧烈,所以张钜诚提醒手里有单子的投资者一定要盯市,以免由于晚间价格波动带来不必要的损失。
2Strict stop loss. It is better to not only make profits, but also to stop losses. Stopping losses can prevent risks from expanding and ensure the safe and long-term survival of funds. Without funds as the foundation, all profits are empty talk. In daily trading, regardless of the size of market fluctuations, we need to set good stop loss points for ourselves. When the market fluctuates significantly, we strictly place orders to stop losses. This is also an important factor in the strict implementation of hedging policies.
3Take advantage of the situation. At night, when trading is active, it is also the time when gold fluctuates the most. At this time, as long as we grasp a small trend, it can be comparable to a month, half a year, or even a year of returns in the stock market. Therefore, there is no need to take a high-risk pullback market, just follow the trend.