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有志者自有千计万计,无志者只感千难万难,要输就输给追求,要赢就赢给追随。没有人会让你输,除非你不想赢,不求包罗万象,只需该有都有,市场的多空缠绵,造就了一个个波浪的形成,而在金市里遨游,需要学会掌舵,方向感很重要,在对的方向里坚持会成功,而在错的方向里坚持,只能越陷越深,所以,当思路错了的时候,及时转变才是硬道理。
Don't let emotions affect the operation in trading
goldTrend analysis:
金价本周承压,主要因美联储再度向市场释放强硬的紧缩观点,市场对美联储加速加息的预期升温,这给了金价沉重的压力。不过,美国通胀高企,全球经济前景遭下调,俄乌冲突等因素将限制金价下行。市场又迎来一系列美国重磅经济数据的考验,其中包括美国一季度GDP初值数据,同时有关俄乌冲突等地缘事件,以及市场对美联储最新的加息预期变动,投资者也要保持关注。美债收益率走高,将会提高持有黄金的机会成本,从而给金价下行压力。市场本周骤然浮现出对美联储未来单次加息75个基点的押注,很大程度上与圣路易斯联储主席布拉德的鹰派表态有关。
4小时周期整体处于震荡下行阶段,局部收圆顶形态后再次录得黄昏之星变体形态,后市看跌情绪较高,但成交量放量于行情呈现异常,且处于短线支撑1928附近,建议后市谨慎追空;日线周期于1980附近收圆顶形态后,局部再次录得下降三法形态,但行情再次来到支撑密集区间。黄金4小时线的实体断崖式下行,阴线实体也是直接击穿支撑位1936-1938一线,同时也是击穿震荡区域,k线出现比较弱势下行,布林带轨道向下运行,开口进一步的加大。综上所述郭晟衫总结:黄金上周震荡走低,周线收录大阴线,回吐前期涨幅,后市延续看空,周一操作上考虑反弹做空为主,上方关注1940-1955USD resistance, follow below1915-1900USD support.
crude oilTrend analysis:
周五原油开盘反弹104.2Nearby, exploring the descent102Nearby, explore on the rebound103.5Nearby, exploring the descent101Nearby, closing101.5附近,日线收录一根大阴线,本周油价在触及109.155dollar/桶,第一波下跌给到99.8水平企稳,二次下跌在105.4水平开始破防,下方支撑重点关注99.8一线,下破后将出现空头N型下破,下方强弱一线在96.0水平,介于前期93.0水平上涨109.8上涨浪推动,如果油价意外上破105.4水平将出现多头逆转。综上所述郭晟衫总结:原油本周上涨遇阻,周线收阴线,趋势偏空,下周一的操作上考虑反弹做空为主,上方关注103.3-105.4USD resistance, follow below99.8美元支撑,下破就需要关注96.0USD support.
解套:
1Long term unwinding. Investors who have identified a major trend (such as a bullish market) and placed their orders in a minor trend (a downward trend in the market) can first stop losing and then enter at a lower price to earn a price difference. This can also earn profits from the major trend and reduce the risk of short positions caused by the minor trend.
2Short term unlocking. If investors make a complete mistake in their judgment of the market, they should decisively close their positions to avoid further unilateral price fluctuations and suffering greater losses.The longer short-term investors hold in a unilateral market, the greater the losses they will incur.
3Light position unwinding (also applicable to investors with large funds). That is, as the decline in the price increases, it increases the buying price and uses idle funds to lower costs, waiting for the price to rebound. Its advantage is that no matter how deep it is nested, as long as it is operated properly, it can be unlocked once there is a rebound.
4, band unpacking. This method is suitable for various market stages of hedging, especially for volatile markets, mainly relying on the fluctuation of stock prices and utilizing the fluctuation price difference to unwind. The concept of this method is to buy low and sell high, sell high and buy low, gradually reducing costs and reducing losses. Its advantage lies in the variety of operating techniques, which are not limited to a single pattern, actively attacking, and if operated properly, the release speed is fast. The disadvantage lies in the high demand for personal time, energy, and ability, frequent operation with certain cost pressure, and improper operation can easily cause greater losses. We need professional knowledge and guidance with time, energy, and skills.
The above article was created by Guo Shengshan's teamgos1678Write my own interpretation of world economic news,Analyzing the Global Investment Trends,Has in-depth research on commodities such as crude oil, gold, silver, etc,Guo Shengshan, Technical Director, provides an online solution,Loss recovery,One on one real-time guidance due to network push latency,The above content is personal suggestion,Due to the timeliness of online publications,For reference only,At one's own risk,Please indicate the source for reprinting.
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