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Original gold oil:4.25黄金欧盘还会跌吗?白银原油最新走势

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Recentlygold白银走势大起大落,多少人吃尽了苦头,损完空单,多单又开始套了,投资中的心酸无奈,一句时运不济不足以道明!这些天也有很多投资者说看了老师的文章写的很像我的现状,空单套了套多单,感觉一直是在被套中度过,就没有一丝一毫的盈利。没有被套偶尔做对一两单不知道什么时候出局犹豫了就亏了。完全把握不了行情的多空趋势。自己没有能力去把控,看到我的文章很有感触就希望我能帮助他们希望能够挽回亏损,指导盈利在交易中去学习如何交易,如何控制风险,如何判断行情趋势。如果你的能力不足以支撑你现在的现状,那么你就需要一位伯乐帮你指点迷津,需要一位良师助你操控大局,一次选择,可能就是你的一次转折!你信任我,我拿实力来证明!原金油之前也说过,你能来我就能帮你。你不将就,我不敷衍,愿投资路上幸运与你同行,盈利与你相伴!我不仅是一位指导老师,也是你生活中值得一交的朋友,欢迎志同道合之士前来促膝长谈!

Crude gold oil--(vx:MACD33388;QQ:244256354)老师拥有多年的投资实战经验,资深现货黄金、crude oil、白银分析师。从业数年来一直致力于金融市场的分析研究。具备深厚金融理论基础和丰富实战经验,国内外金融理财产品研究,及理财规划咨询等工作,获取国际黄金、美原油、TDgold//silver//原油操作建议,黄金市场,黄金每日分析,最新策略,多-空单解套等产品实时分析和指导。每日实时现价单免费体验实力,一对一解套指导免费提供18小时在线喊单盯盘服务。

Analysis of the latest gold market trend

  基本面,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。综上所述原金油总结: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.

  黄金今日还是继续干空不变,此前1940的盘整支撑,破位后转化为多头反弹的反向阻力,此位置下,黄金就是跌势,早盘反弹此位置下继续空!下方的目标则是此前一直没有破位的1910位置,跌破后将是1890甚至更低!具体操作策略我会在盘中提示,及时关注。近期市场动荡幅度较大,机会与风险并存。控制风险再博收益。如果仓位有套单或者近期出现严重亏损,可【添加VX:MACD33388,QQ;244256354】寻求帮助,我会抽时间给予你一些建议去参考,可免费得kA copy of online teaching.

Analysis of the latest silver market trend

Last week, the silver market opened at the beginning of the week25.622After the position is raised, the market will be given first26.212的位置后行情展开回落过程,周线最低给到了24.022After the position was sorted out, the weekly line finally closed at24.158的位置后行情以一根上影线很长的大阴线收线,而这样的一阴包两阳的周线收尾后,本周延续做空,点位上,今日24.0Nearby empty stop loss24.3Look at the target below23.7, break down and see23.5and23.3, break down and see23.2-23.1支撑。具体操作策略我会在盘中提示,及时关注。近期市场动荡幅度较大,机会与风险并存。控制风险再博收益。文章只能给你一时的方向和思路,需要实时进出场点位及每日策略分析指导可以【添加VX:MACD33388,QQ;244256354】Get real-time help.

Single duvet cover? Online solution:

  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.

I really like a saying: An important choice is worth a thousand times your effort. The poor refuse in doubt, while the rich seek proof in doubt. Choosing the right one will get twice the result with half the effort, while choosing the wrong one will accelerate your demise.

Full day guidance time: morning7:00In the early morning of the next day2:00.(周末也从不停歇,添加VX:MACD33388,QQ;244256354,可随时免费咨询一对一指导)

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