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鼎盛金师:今日走势静待黄金反弹修复布局,原油走势操...

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每个人都喜欢近在咫尺的稳妥,然而如何才能脱颖而出?就在于能不能走别人没走过的路,吃别人没吃过的苦。学习从不是件容易的事,需要抵抗诱惑与孤独,保持清醒与敏锐。量变到质变可能不会立竿见影,却从不含糊其辞。昨天吃的苦,都会成为你明天的路

  gold走势分析——

Federal ReserveFOMC的委员们一致投票同意,五月会议加息50个基点,将联邦基金利率目标区间提升至0.75%-1%。同时,美联储声明显示,6month1日开始以每月475亿美元的步伐缩表;三个月内逐步提高缩表上限至每月950亿美元,预计“继续”加息是合适的。当地时间周四,美国参议院以80-19的投票结果确认鲍威尔连任美联储主席的提名。鲍威尔承认,能否实现软着陆,实际上可能取决于美联储无法控制的因素,但允许高通胀意味着更严重的经济衰退。他重申未来2次会议上各加息50个基点是合理的,并表示,从事后来看,此前早点加息可能会更好。由于市场预期美联储将采取更激进的政策,美元坚守在在近20年高位附近,令黄金大幅走低至1810Gateway.

Gold under pressure this week1890延续跌势,并且出现单边下行走势,一度跌破1850大关,空头开始加速走低,连破1840—1835Key support to1830附近得以缓解跌势。隔日黄金依托1832支撑,反弹重回1860关口进行技术面修复。看似黄金有望筑底回升,可依然还是未能力挽狂澜,最终承压1860关口继续走低。最刺激的还是美盘午夜行情,受鲍威尔连任美联储主席消息刺激,黄金遭遇崩盘回落,再次刷新低点至1810关口,其跌势再次延续,尤为惊人!现在黄金跌破1830关键支撑区域,空头更加如虎添翼,并且日线大阴回落收尾。MA5—MA10均线还是死叉下行压制,布林带保持开口下行,灵动指标由超卖区向上修复运行;加之周线三连阴和月线冲高回落奠定了空头基础。局势上空头趋势一目了然,不过今日周五预期也不会再跌了,本周的跌幅也差不多到了尾声,周尾有望迎来空头获利回吐从而反弹回升。今日重点关注1780—2070Fibonacci0.886%of1813位置,可以在此以防守布局多单看反弹,现在4小时底部的锤子线还是给出了做多信号,上方关注1832Nearby pressure.

Golden Strategy:

  1--1832Near empty, stop loss1838, Objective1825-1820

  2--1820附近先多,1815加多,止损1813, Objective1828-1832。具体操作实时给出。

  crude oilMarket trend analysis——

  5month13During the Japanese Asian period, the US oil company is currently reporting106.81dollar/Barrel; Oil prices rose nearly on Thursday1%International Energy Agency(IEA)Emphasizing the tense global fuel inventory situation, the EU hinted that member states may not be able to reach an agreement on Russia's oil ban, limiting oil price increases; International Energy Agency(IEA)It was said on Thursday that the Russia-Ukraine conflict caused a decrease in Russian production, which would not lead to a shortage of oil in the world, because the supply in other places increased, while epidemic prevention and control curbed demand.IEAIn its monthly oil report, it was stated that "over time, the Middle EastOPEC+The steady increase in production with the United States, coupled with a slowdown in demand growth, is expected to offset the severe supply shortage caused by the worsening supply interruption situation in Russia. The slowdown in oil exports and the decrease in domestic demand after sanctions mean that approximately10010000 barrels/Russian oil has been shut down in JapanIEALast month's forecast was missing about5010000 barrels/Day.IEABelieving that this number is5The month will rise to16010000 barrels/Day, and then on6Monthly rise to20010000 barrels/If sanctions prevent further purchases or expansion, then7Starting from the month, it will rise to near30010000 barrels/Day. Overall, the tight global fuel inventory is good for oil prices. Although the European Union may postpone the ban on Russian oil imports, it is necessary to be vigilant about the risk of rising geopolitical tensions and news related to various rare viruses.

From a technical perspective, crude oil rebounded and closed higher yesterday, recovering from the previous day's decline and losing ground. At the same time, it reached a high point and emerged in a small cycleVType reversal, strong recovery104.10After the high point, the weak downward pattern was broken. Bounce highest touch106.40.Returning to the high range and sawing. Accompanied by a wide base saw. The daily high sun rises and swallows up the small yinKThe short-term and short-term fluctuations have returned to the range, and the continuity of the two yin and one yang is insufficient. It has not yet left the unilateral trend.4The hour chart shows a wave of low and continuous positive recovery, with nearly half of the lost ground. The pace of rapid decline and recovery, as well as sawing and fluctuating. The reversal of long and short is fast, and the gains and losses at critical points are crucial. Once the critical point of strength is missed, the predetermined rhythm will change. The daily route of Brin Road continues to close. In the short term, it will continue to fluctuate within a wide range. Since it's a shock. Grasp the range and sell high and buy low. The point is in the front and the trend is in the back. Overall, the short-term operation strategy for crude oil today is suggested to focus on a pullback to the low end, supplemented by a rebound to the high end, with a focus on short-term operations above108.5-109.0Frontline resistance, short-term focus below103.5-103.0Frontline support.

  新手如何学会投资交易的六点操作法:

  1、震荡做法:

  行情大部分时间是处于震荡格局,在行情震荡时的箱体间高抛低吸,是稳定获利的最基本方法。运用的指标为BOLL,箱体理论。成功的前提是根据各种技术指标及图形,找准阻力支撑。震荡做单法运用的原则是,短线买卖,不可贪婪。

  2、变盘突破做法:

  当行情经过长时间的盘整后,最终会选择方向,在行情选择方向变盘以后追入,是稳定获利最快速的方法。要求必须具备良好的变盘判断能力,要求心态稳健,忌贪忌恐惧。

  3、单边趋势做法:

  在行情突破盘局以后,市场都会选择一个方向,在单边行情形成以后,顺势做单是千古不变的真理。在每一次的回调或反弹中,都是进单的机会,是稳定获利的最佳保障!这里给大家说说运用的技术指标为:KLine, moving average,BOLL,趋势线!要求能熟练了掌握以上指标。

  4、阻力支撑做法:

  当行情遇到很重要的阻力支撑时候,往往会受阻或受支撑,在受阻或受到支撑时进单,是我们常用的方法,是稳定获利的最普遍方法。运用的指标为趋势线,均线,布林带,抛物指标,要求对阻力支撑有非常准确的判断。

  5、回调反弹做法:

  当行情经过一波大幅上涨或下跌以后,会出现短暂回调或反弹的走势,抓住这样的机会,是我们稳定获利最轻松,最简单的方法。主要的运用指标为KThe line shape requires a very good sense of direction and the ability to accurately determine the high or low points of the stage.

  6、时间段做法:

  一般的情况早盘及下午盘波动较小,行情容易把握,适合性格温和的投资者操作,缺点是下单获利的时间延长,必须要具备足够的耐心。晚盘及凌晨盘波动剧烈,能迅速获利并有多次操作空间。适合性格激进的投资者操作,缺点是行情难把握,容易出错,对技术水平及判断能力要求比较高!

  — This article is contributed by Ding Sheng Jin Shi.

My Interpretation of World Economic News,Analyzing the Global Investment Trends,Has in-depth research on commodities such as crude oil, gold, silver, etc,Technical Director Dingsheng Jinshi Online Solution Set,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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