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Yu Yue on Jin:8.24黄金疯狂过后的疲软如何看待?原油操作指南

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8.24goldMarket trend analysis:





     黄金技术面分析:黄金多头在昨天才有起色,这个是不错的状态,周二行情并没有延续周一下跌,价格盘中反复确认力度,开始拉升上涨,盘中一度给到1754位置,价格日线也是止跌反转收复行情,周二盘中布局短线思路做多也是获利了结仓位。价格的上涨日内继续关注压力位置1760,价格修正支撑点位1740Location.









  周三黄金上涨支撑点位1740是关键,价格昨天也是有给到1740的关键压力思路,价格1740昨天突破虽没有直接拉升,可最终的方向是可取也是相对可行,今天价格1740也是反转的支撑,日内回撤可看得失去考虑多头介入,上涨延续看涨1760位置即可,最近行情涨跌附近都是在25美金左右,价格日内行情基本就是如此,做多行情也是有限。











  黄金冲高回落收尾,最终结盘在1747美元一线,日线以一根上下影线很长的大阳线收线,这样的形态过后,黄金结束了连阴下跌的弱势格局,今天黄金开始做多,还有继续上涨的需求,今日下方支撑关注昨日小时线顶底转换位1737-1735Nearby, if you step back and stabilize at this position within the day, you can continue to follow the trend and see the rebound rebound. Pay attention to the early stage of upward pressure4Hour level opening and closing1756-1758区域,整体依旧保持多空宽幅震荡节奏不变,昨日强势探底回升破高今日亚盘先多看延续,冲高承压可再空继续看震荡,中间位置一律多看少动谨慎追单,综上所述,今日黄金操作思路上建议回调做多为主,反弹做空为辅,上方关注1760-1762USD resistance, follow below1740-1742To support, it is necessary to control the position and stop loss issues, strictly set stop losses, and do not operate against orders. The recent market turbulence has been significant, with opportunities and risks coexisting. Control risks and increase profits.





8.24Reference for Golden Operation Strategy:



Empty order strategy:



        Strategy 1: Gold rebounds1758-1760Short (buy down) 2/10 positions in batches nearby, stop loss6Points, target1750-1745Nearby, break down and take a look1740frontline; (Suggested for reference only, investment carries risks, and caution is required when entering the market!)




Multiple order strategy:




         Strategy 2: Gold Callback1738-1740Nearby batch long (buy up) 2/10 positions, stop loss5Points, target1750-1755Nearby, break down and take a look1760frontline; (Suggested for reference only, investment carries risks, and caution is required when entering the market!)








8.24crude oilMarket trend analysis:




       原油技术面分析:油价周二大涨近4%Previously, Saudi Arabia proposedOPEC+The idea of reducing production to support prices amid the prospect of Iranian crude oil returning to the market and declining US inventories. As of8month19During the current week, crude oil inventories decreased by approximately560Ten thousand barrels, gasoline inventory increased by about26.8Ten thousand barrels, distillate oil inventory increased by approximately110Ten thousand barrels. Nine digitOPECSources told Reuters on Tuesday that Saudi Arabia is considering this weekOPEC+The reduction in production may not be implemented immediately, and if Iran reaches a nuclear agreement with the West, the reduction may be synchronized with the return of Iranian oil to the market. A senior US official told Reuters on Monday that Iran has abandoned some of its main demands for restoring the agreement.









  昨日油价依托90.5The checkpoint has once again seen strong bulls pushing up and breaking through highs, while prices in the Asian and European markets have risen and stabilized90.5A slight upward oscillation on the front line, further rising and piercing in the afternoon92Under pressure at the checkpoint, prices fell and stabilized after a second rebound in the evening91The checkpoint is further accelerating its rise and breaking through the high, with consecutive bullish gains breaking through the hourly level of the US market93Pierce the checkpoint94Strong closing at the checkpoint, dailyk线报收强势破高中阳,连续两个交易日迎来多头企稳反弹破高形态;



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​       crude oil4小时来看,布林带有开口迹象,价格目前突破上轨,从K线上看短线多头非常强势,但整体上原油还是弱势,目前考虑到4小时布林道收口当中,日内短线暂时先在布林道上下轨之间做震荡,后市留意区间破位再决定方向的延续,未破之前,靠近上轨先空,靠近下轨短多,短线不排除来回拉锯持续的走法。综合来看,今日原油短线操作思路上建议以反弹高空为主,回调做多为辅,上方短期重点关注94.2-94.5Frontline resistance, short-term focus below90.0-90.5Frontline support. I will prompt you on the specific operation strategy in the disk and pay attention to it in a timely manner. The recent market turbulence has been significant, with opportunities and risks coexisting. Control risks and increase profits.








8.24Reference for crude oil operation strategy:


Empty order strategy:



       Above the rebound of crude oil93.8-94.0Short selling in batches nearby(Buy down), two tenths of a position, stop loss0.7US dollars, look at the target93.0-92.0Nearby; Dislocation91.0Nearby. (Suggested for reference only, investment carries risks, and caution is required when entering the market!)



Multi order strategy:



      Below the crude oil pullback90.3-90.5Nearby batch long (buy up), 2/10 positions, stop loss0.7USD, target91.5-92.5Nearby; Dislocation93.5Nearby. (Suggested for reference only, investment carries risks, and caution is required when entering the market!)

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