Gold and silver news, gold and silver strong pull up, two times the formation of the rally also need 懵懵懂懂的意思

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Gold and silver news: gold and silver strong pull for two times, the formation of the rally also need to pay attention to the trend of the tail concussion, unexpected attack, a big move up. Yesterday spot gold trend is such a trend, a trend remained run within days, the highest reach 1210, the minimum is only a test of 1200 support, U.S. economic data released early evening U.S. straddle the intersection, when the beginning of the week you unexpectedly fell to last November to the lowest level, has been maintained for 50 weeks in 300 thousand, the decline showed that the growth rate of employment to rise, the Fed rate hike this year to keep pace; however, the U.S. January leading index fell 0.2%, the 2 consecutive month of decline, last year hit the lowest in May; the lowest since the February Philadelphia fed employment index of American manufacturing industry since May 2013. The uncertainty of the US economy and US monetary policy still makes the price of gold support. But there is no big move, still in the range. The morning after the Russian threat was false terrorist attack after the gold price affected by risk aversion sharply soaring, the highest on the probe to 1240 line, wantonly recovered before the Lost Bull rally retest. Although Ceng Mozhe was bearish last night to stop out, but still think the market has Mo Zhe is better than no market better, now the price of gold to break up, daily to Yang, three days after the shock is pulled out of the amendment, after Monday fell below the Senji rise, Ceng Mozhe believes that persistence is a problem, at least I will not because the daily rise depends on a positive adjustment of the end, today is the last trading day of the week, for now the market is also more critical if the daily morning rises up steadily, so next week will have a chance to break through the previous high of 1263, if where to fall back, then with the weekly down, next week is to continue to adjust the probability of the event! Don’t see that last night rose high in the 1240 adjustment of the end, last night, the distance is not small distance in front of 1263 high, don’t worry about a breakthrough before the high end market today, so the week around the morning increase concussion, yesterday lows is 1200, if the daily re below said the end of the rally, the market re entered the adjustment, and then after a rebound the market adjustment is not so optimistic, today on the 1250-55 resistance of last week’s low line retracement, generally on Friday if the market operation rules, will remain volatile, not as long as the rose fell, basically will be closed at the weekly long under the shadow cross line, reference is not strong, the final direction or to stay next week Laiding! For today’s operation, under the open position, starting up a reference point 1200, rebounded to 1240 line, retracement of the 618 position in the vicinity of 1224, this position is the key, the days can empty broken, but not real break, once again fell through, so on the one hand, curb the rise in space, kinetic energy on the other hand will weaken the rise, the disk will enter the shock pattern, it is hard to break the high. On the other hand, the early rebound high 1217 line, is a lot of death, in other words, the top low conversion, there is repression, support, must try. And stop the loss of 1212 line can be. Of course, since the rebound continues, then…

金银快讯:金银强势拉升二次涨势形成还需留意周尾   震荡走势,意外出击,大幅拉升。昨日现货黄金走势就是这样的走势,日内基本保持一个震荡运行走势,最高触及1210,最低也只测试一次1200支撑后,晚间美盘前期公布的美国经济数据多空交集,当周初请意外下滑至去年11月以来最低水平,已经连续50周保持在30万以下,下滑表明就业增速抬头,有利于美联储保持今年加息的步伐;然而美国1月领先指标月率下降0.2%,连续2个月下降,触及去年5月来最低;美国2月费城联储制造业就业指数创2013年5月以来最低。美国经济和美国货币政策的不确定性仍使金价获得支撑。但并没有出现太大动静,依然在区间内。而凌晨后在俄罗斯遭恐袭的虚假威胁后,金价受避险情绪影响出现大幅飙涨,最高上探至1240一线,大肆收复之前的失地,多头反弹复试。尽管昨晚曾莫哲看空被止损出局,但曾莫哲仍然认为有行情总比没行情要好,现在金价突破上升起来,日线转阳,算是三天的震荡修正之后走出的拉升,在周一跌破千二之后的上涨,曾莫哲认为持续性是个问题,至少目前我不会因为日线一阳上升就看调整结束,今天是本周最后一个交易日,对于现在行情来说也比较关键,如果能够将日线凌晨的上涨稳固起来,那么下周才有机会突破1263的前期高点,反之如果从哪里来再跌回去,那么随着周线的收低,下周继续调整是大概率事件!   不要看到昨晚上涨认为调整结束,昨晚高点在1240,距离1263前面高点还有不小距离,今天不用担心突破前高,所以周尾行情围绕着凌晨的上涨来看震荡,昨天低点是1200,如果日线重新跌破表示反弹结束,行情重新进入调整,而且经过反弹之后再调整,行情就不那么乐观了,今天阻力放到1250-55上周低点连线的回档位,总体来说周五如果行情运行规律的话,会维持震荡运行,只要不是大涨大跌,基本上周线将以长下影十字线报收,参考意义并不强,最后的方向还是要留到下周来定!   对于今日的操作而言,下方开多位置,参考1200的起涨点,反弹至1240一线,回撤的618位置,在1224附近,这个位置是关键,日内可以虚破,但不能实破,一旦再次跌穿,那么一方面遏制上涨的空间,另一方面将会削弱上涨的动能,盘面就要进入震荡格局,势必难以破高。另一方面,前期反弹高点1217一线,是死多位,换句话而言,顶低转换,有压制变支撑,必须要尝试。而止损放1212一线即可。当然,既然看反弹延续,那么下方同样需要注意多空分水岭,而昨日晚间二次起涨点也是在1217一线,我们把这一线看作多空的分水岭,当前价格,只有下破并且收盘在下方,才能再次的回到下行震荡区间里面,只要价格在1217上方我们就必须维持多头思路来进行,详细点位可以寻求笔者曾莫哲获取。   宁贵银相对黄金的大幅上涨,走势比较温和,同样是震荡酝酿,昨晚上升幅度较小,而且日线转阳收线并不是太理想,今天黄金继续看震荡,而且方向还有待观察,白银基本上上攻的可能性不大,所以如果继续反弹一些,在本周高点下方有望形成阻力3220,白银本身比较弱一些,并不能像黄金一样当区间来做,周尾锁定阻力3220,在这之下反弹做空为主;   北京时间周五凌晨美国能源信息署(EIA)公布的截至2月12日当周原油库存录得增加214.7万桶,预期值为增加392万桶,前值为减少75.4万桶。本周EIA库存可谓是“全线飘红”,原油、汽油、精炼油、库欣原油库存均录得增长,四项库存全部增加引起获利了结,并抹去了早间API公布后的涨幅。宁贵沥青原油在美盘时段小幅冲刺3078点位后开始回落,目前震荡于2900上方,重点关注2900的破位情况,一旦跌破下方空间将进一步打开,上方反弹首先关注3000附近阻力,日内操作上维持逢高做空为主。上方反弹2980-3000一线做空,止损3030,目标下看2930-2910一线;下方如跌破2880做空,止损2930,目标下看2840-2820一线;下方首次触及2820-2800一线做多,止损2780,目标上看2860-2880一线。 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: