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姚计远:午评,多头别灰心 黄金期货下一个爆点正在路上

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When making investments, losses are not scary. The 28% rule in the market is absolute, and what is scary is meaningless losses; It's not scary to set up a list, what's scary is not following the right teacher and getting deeper and deeper; The market is not scary, what's scary is investors who don't know how to analyze the market, follow trends and blindly place orders. There is a reason why you can't make money. If you are currently suffering serious losses, feeling lost, and feeling hopeless, please make adjustments in a timely manner. If you need to change teachers, change teachers, and if you need to change platforms, you will definitely lose money. There is no unprofitable investment, only unprofitable operations, following the same teacher, and benefiting for a lifetime.


goldFundamentals
  
尽管此前黄金的上涨受到朝鲜危机的影响,但些地缘政治事件的影响时间往往是相当有限的,当事件冷静下来的时候,市场很快转向。美元的疲软与朝鲜的紧张关系驱动黄金上涨,但美元贬值将会放缓的。朝鲜在上周末的无动于衷的消除了过热的危机,投资者有了一些放松。美国Irma飓风也造成了比原来以为的伤害少。市场有可能把注意力转向美联储的下一个会议,之前市场会比较安静。为回应乐观增长的数据和下降失业率,美联储今年提高了两次利率,但通胀数据持续疲软,阻碍了12月份再次加息的预期。


姚计远:午评,多头别灰心 黄金期货下一个爆点正在路上193 / author:姚计远 / PostsID:986650

Gold Analysis
  
技术面上,单边下行走势结束,这种行情本就是非常脆弱和要求颇高的,行情进入震荡下行阶段,目前15Minutes and1小时金叉往上,若继续上行则将试探4小时关键阻力位1337,涨破后空头趋势行情结束,金银价格新高的概率大增,不过目前来看这种可能性不大,本周最重要最大的行情应该在周四晚通胀数据公布之时,不过预期利多会限制目前金银行情下跌空间,短期内建议在4Hours and1小时构成的区间内高沽低渣操作,若行情再次出现单边空头行情的信号,可顺势做空,若金银价格涨破4小时关键阻力,则反手做多看新高,建议不盲目猜测行情提前下单,建议以行情最终走势为方向顺势操作,做单带好止损。




Golden Strategy:
  
黄金首次触及1337空一次,止损1340偏上方,目标1333-1330;

  
黄金若强势拉升站稳1337则回踩此位置附近做多,止损1333, Objective1342-1347;

  
早盘关注黄金能否持续站稳1330上方,若站稳则直接多一次,止损4US dollars, looking at the target1337附近,反之则等待,具体操作一程会在实盘中实时给出;


姚计远:午评,多头别灰心 黄金期货下一个爆点正在路上925 / author:姚计远 / PostsID:986650

  
crude oilFundamentals:
  
OPEC在周二发布了最新的月度原油市场报告,报告显示该组织的产量在8月份终于回落。受此消息鼓舞,全球油价连续第二日上涨。纽商所10Monthly deliveryWTIcrude oilfuturesrise in price0.16USD or0.3%, to48.23dollar/Barrel;ICEexchange11月交割的布伦特原油期货价格上涨0.43USD or0.8%, to54.27dollar/Bucket.

The monthly report shows that,OPEC8月原油产量下降7.910000 barrels/Solstice3275.510000 barrels/日,较其产量目标327010000 barrels/日稍高,这主要归功于利比亚、加蓬、委内瑞拉和伊拉克产量的下降。此前数月OPEC产量连续上涨,一度使人们担忧减产协议的效果。最新的数据发布后,这种担忧情绪终于得到了缓解。
  

Crude oil analysis


隔日原油走势比较混乱,涨跌走势比较复杂,下跌后涨再跌再涨,总体在48.40-47.70走震荡,不过从收线来看,整体是偏高的走势,收线在48.30附近。技术面来讲,原油其实在日线周期中走震荡,区间较大,周一47.10不破,支撑在60日均线之上,走偏多的思路,连续两跟阳线收线,原油表现较强,但也不是单边,所以只能看作震荡偏强,由于EIA数据因素,下方看47.40附近支撑,亚欧盘注意48.40压制,看47.90支撑,等待方向出来再做交易。
Crude Oil Strategy
  
Callback47.9附近介入多单,目标48.6USD, stop loss47.5dollar

因各平台点位差异,也因为网络发布的延时性,操作建议仅供参考,非本人实盘客户暂不提供风控策略,望各位做单带好止损,行情瞬息万变,需知具体操作,线下给出。


writing/姚计远/ WeChatyjy18198 /QQ1173781122   公众号:姚计远财经


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