Wu Wangxin crude oil yield reduction, good gold become the king of refuge-mi.11bt.info

Wu Wangxin: crude oil yield reduction, good gold into the king of refuge, the client to view the latest market fate as the palm of the hand, no matter how much twists and turns, are in their hands. It’s easy to fall on a smooth ice surface because it’s not bumpy. There are many accidents in life, good accidents we gladly accept, bad accident we face calmly. The unexpected rise of gold shocked us, but also taught us more operational skills, enriched our trading experience, enhanced our sense of risk. Gold, this week from 1164 to sing all the way up to 1263 amplitude, up to 99 U.S. dollars, and only a day on Thursday rose to 65 U. s.dollars, the Spring Festival period all the way inflation is really surprising, gold in everyone’s eyes have been almost crazy. At the same time, the author pointed out yesterday in view of gold rating will be confirmed in the trend of sports stage, the trend of the last wave of efforts is the most difficult to predict, but the last wave of the time only accounted for the entire trend with time of 10%, but the volatility is very likely beyond the top 90% time fluctuations the magnitude of this crazy phenomenon is intuitive response to human nature after crazy. Gold, from the fundamental analysis, presented by the soaring yesterday, the reason is that the stock market crash to promote the large number of hedge funds into the city of gold in gold soared. On Thursday, Asian stock market opening fell collective, Hongkong’s Hang Seng index opened 4%, the Nikkei index fell 2.3%, the European stock market as a result of the banking industry stocks collective slump, the French CAC40 index plunged 4.05%, Germany’s DAX index fell 2.93%, the FTSE 100 index fell 2.39%, the Dow Jones index closed down 1.60% at 15660.18 points; standard the S & P 500 index closed at 1829.08 points, down 1.23%. In addition, the chairman of the Federal Reserve Yellen in the Senate Banking Committee testimony, the performance of doves, to suppress the dollar index, so that gold has become the most consistently dangerous hedging varieties, and the most favored by funds. Gold Thursday Bikong rally is rare, and Monday’s intraday rhythm is exactly the same, can be concluded as Monday and Thursday are given by the same driving force, even in the days of rise time are surprisingly consistent, after midnight and at the high point pressure, then the disc is sideways, Europe 16 points to open the second round of increases, offer a strong shock directly through high rise. This kind of all day without stepping back strong rise, in the process of traders seems to enter the bull market in general. Yesterday morning, the price of gold is expected to be within a narrow range in the range of 1202-1206, and when the disc appeared significant boundary 1205-1209, we immediately in the 1205.5 position directly, till 16 K intraday cash break in the 1209 position and the desire for the opening, the days of high expectations only around 1230, however after 16 days of instant ten big line, single hour chart K was $12, its strength is 3 times on Monday at 16 k! At this point, the bulls have been domineering exposed, so the author immediately high expectations.

吴旺鑫:原油遇减产利好 黄金成避险之王 客户端 查看最新行情   命运如同手中的掌纹,无论多曲折,都掌握在自己手里。在光滑的冰面上容易摔倒,是因为上面没有坎坷。生命中有很多意外,好的意外我们欣然接受,坏的意外我们坦然面对。黄金的意外大涨带给我们震撼的同时,也教会我们更多的操作技能,丰富了我们的交易经验,增强了我们的风险意识。   黄金,本周由1164一路高歌涨至1263振幅高达99美金,且仅仅周四一天涨幅就为65美金,此番春节期间的一路暴涨着实让人大跌眼镜,黄金在大家眼里已几近疯狂。同时笔者于昨日金评中指出的观点亦得以印证,即在趋势运动阶段中,最后一波走势的力度是最难预测的,然而最后一波所经历的时间仅占整个趋势所用时间的10%,但其波动幅度却极可能超越之前90%时间中波动带来的幅度,这种疯狂的现象正是人性疯狂之后的直观反应。   黄金,从基本面上来分析,昨日所呈现的暴涨,其原因是股市的暴跌推动避险资金大量涌入金市而致使金价飙升。周四,亚洲开盘股市便集体下挫,香港恒生指数低开4%,日经指数跌2.3%,随后欧洲股市因银行业股票集体大跌,法国CAC40指数暴跌4.05%,德国DAX指数大跌2.93%,英国富时100指数走跌2.39%,接着道琼斯指数收盘下跌1.60%,报15660.18点;标普500指数收报1829.08点,走低1.23%。此外,美联储主席耶伦在参议院银行业委员会作证词中,表现鸽派,打压美元指数,从而令黄金顺理成章成为始终最亮眼的避险品种而最受资金青睐。   黄金,周四的逼空上涨行情实属罕见,且与周一的日内节奏如出一辙,可由此断定为周一和周四是由同一拨主力给予推动,甚至连日内的上涨时间点亦出奇一致,皆为后半夜至凌晨突破高点压制,接着亚盘进行横盘整理,欧盘16点开启第二轮上涨,而后美盘经过高位强势震荡之后直接上涨。这种全天无回踩的强势上涨,在操盘的过程中似乎进入牛市之中一般。   昨日,早间预计金价会在1202-1206区间作窄幅震荡,而当亚盘出现显著的边界1205-1209之后,我们即刻于1205.5位置便直接做多,待到16点K线盘中现上破欲望于是在1209位置加仓做多,此时笔者对于日内的高点预期仅在1230附近,然而16点过后瞬间便出现十日大阳线,单颗小时图K线就达12美金,其力度为周一16点K线的3倍!此时此刻多头已然霸气外露,于是笔者立刻将高点预期值修正为1240,不料美盘尚未开始之前便瞬间抵达1240,此时欧盘高达35美金的波动幅度确实出乎所有人的预料。接着美盘之前,笔者对盘中的多头迹象便作了一番详细的研究,当时选定1230为美盘的最佳支撑点,而由于欧盘波动都达35美金,那么预测美盘波动20-30美金也并非难事,于是目标修正至1250-55,所以笔者于1235位置再多,23点30盘中1241位置加仓追多,博0点K线的加速上行,且0点K线最高冲刺至1263,至此多单全部获利出局,而此时白银为15.90。终于黄金白银的日内交易在惊险刺激中完美谢幕了。   黄金,周四行情现已成为历史,无论有没有把握到手,都需要我们用心的认真去做总结和思考,赚到钱的得意而不忘形,错失良机的也不必气馁,化失落为力量,让失败的经验成为下一次成功的垫脚石。总而言之,春节期间的此轮多头行情,给黄金市场带来了一场地动山摇的大地震,而在此过程中,很多散户由于平时风险意识的匮乏而遭受重挫,因此,作为交易者的每一个人都应当注重风险意识的培养和锻炼,而不可只盯着利润而对风险视而不见,唯有这样才能在猝不及防的大地震面前至少能做到全身而退。   黄金,周四隔夜美盘上涨的起涨点在1230位置,欧盘前金价在1232位置短线获得支撑,目前市场情绪趋于缓和,美盘可继续关注1231附近支撑以1225微损博多看1250。同时,黄金市场经过此轮大涨之后,流动性将明显增强,波动性亦明显放大,当下20美金的波动也仅仅算作震荡市。   白银,相信看过我金评的朋友都已收获利润,笔者于早间建议直接在15.25附近做多,止损15.15且为微损,目标给至15.60,美盘前修正目标为15.90-16.00,而结果日内从15.27上涨到15.93,笔者给出的建议基本处于最低点,接着于最高点建议出局。回顾以往,我们往往都是以白银为参照做黄金,然而近日以来,我们却又以黄金为参照做白银,本周白银的上涨便是完全紧随着黄金的节奏,而周四黄金大涨的内因却是由于全球股市大跌触发避险情绪的升温,加之美元因耶论鸽派的打压,致使黄金成为唯一的香饽饽,然而白银避险属性较弱而略显逊色。当下空仓者建议观望,手中仍持有多单者建议美盘冲高15.85的时刻选择离场。   原油,周四顺利抵达26关口,短线暂时以震荡为主,而目前需观察油价的反映。或因华尔街日报透露欧佩克减产消息,油价在26位置获得支撑,但又由于欧佩克内部的矛盾制约,若再度传出不减产的言论,原油未来仍将重新开启下跌模式;而如果更多的消息表示支持减仓,短线便有望在纠结中触发反弹。本周从30附近建议一路做空至26附近,目前可适当暂停操作,需耐心等待消息进一步明朗及技术形态进一步完善后再付诸行动。 新浪声明:新浪网登载此文出于传递更多信息之目的,并不意味着赞同其观点或证实其描述。文章内容仅供参考,不构成投资建议。投资者据此操作,风险自担。相关的主题文章: