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2026year6month10Analysis of the Japanese Gold Market

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2026year6month10daygoldquotations analysis
基本面:利空集中释放,短期承压明显
  美联储预期剧变(核心利空):美国5月非农与薪资数据超预期,市场完全放弃2026年内降息,12月加息概率破70%。10年期美债收益率上行,黄金持有成本飙升,资金持续流出 。
  地缘冲突“反杀”利空:美伊冲突升级(美军空袭伊朗),推升油价与通胀预期,强化加息预期、压制黄金,避险买盘被稀释。
  央行购金托底(中长期支撑):全球央行持续净购金,中国央行连续7个月增持,减缓下跌空间,但难改短期弱势。
  关键事件前瞻:今晚美国5monthCPI、下周美联储议息会议(点阵图+鲍威尔讲话)将定短期方向。
技术面:日线破位空头主导,反弹即空
从日线图来看,昨日大阴破位4268前低,凌晨最低4236,今日续跌,现报4209, creating3月下旬以来新低 。均线5/20/200日均线空头排列,价格牢牢承压于5Daily moving average(4330附近)下方 。指标MACD死叉、绿柱扩张;RSI超卖(23.7),无企稳信号。
从小时图来看,布林开口向下、均线空头,反弹视为技术性修复,难改下跌趋势。
强压力:4260/4330(缺口+5日均线)
  强支撑:4150/4100(心理+关键支撑)
操作思路::反弹做空,不抄底,4220–4235Empty, stop loss4255, Objective4180–4150;跌至4150附近受支撑大可轻仓试多,止损4135, Objective4200
短期空头强势、反弹即空;CPI与美联储会议前,弱势难改,关注4150支撑与4260Pressure.

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