Current pressure26.8After a continuous decline, stabilization, and rebound in the region, the current rebound is still relatively strong, but26.8The upward pressure is obvious and cannot be adjusted at any time. There is a bit of room for the decline in demand for silver industry in the later stage. When gold stabilizes, it is still the first to long silver. Currently, with the tariff adjustment, we can also rebound and participate in short selling. If we continue to rebound25.2Nearby, there can be empty layouts waiting for adjustments, as for silverTDJust follow the trend of spot buying and selling, of course, the pressure is concentrated now5230If encountering a direct short entry game and adjusting again, try not to participate in other positions as much as possible, and now switch between top and bottom5180Regional pressure continues to short5280Loss is sufficient. Directly encountering4800Multiple regional batches, available in stock22Try a shorter layout nearby.
Fundamentals:3month31During the Japanese Asian period, the US oil company is currently reporting107.56dollar/桶;油价周三上涨超2%,美国原油库存再次减少,表明供应紧张,投资者担心西方对俄罗斯实施新的制裁,且俄罗斯军队继续轰炸乌克兰首都基辅郊区;伊核协议进展或不容乐观,日内OPEC+会议或维持产量计划,油价短线或维持震荡偏多。
技术面:原油周三震荡上行,最低104.5, highest108.7,日线收阳于107.3,EIA数据虽利多,但油价未能延续破高,处于高位震荡,日线收于中轨下方,早间受受拜登将释放更多石油消息影响,油价大跌,至101.9,从四小时线看,大跌后油价临近下轨支撑,下方关注100得失,小时线,直接下穿下轨,虽消息面利空,但低位谨慎空,下方100不破看震荡,上方关注105and107,综上所述今日原油操作思路上晟衫建议:以反弹空为主,早盘先拉升给出107.4Empty, stop loss108Look at the target below105.5and104.8,重点关注下方100得失,至于多根据四小时盘面临盘提示。