Yellow gold and silver in the morning to see callback asphalt rebound and then short-www.yyy13.com

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Huang Lichen: gold and silver rebound in the day to see rebound, and then short client to see the latest market, Tuesday (February 23rd) has just formed a good risk appetite on Monday once again dissipated, accompanied by the stock market and oil market fell, hedging transactions renewed on Tuesday. Chinese down the central parity of RMB to suppress the market risk appetite in dollars rose during the temporary consolidation. Crude oil, the Saudi oil will not reduce the firm speech once again suppressed the last glimmer of hope on the market, coupled with the United States API crude oil inventory data increased, oil prices in Tuesday’s vote again failed, closing down 4%. API announced that in the latest week, crude oil inventories in the United States increased by 7 million 100 thousand barrels to 506 million 200 thousand barrels, the analysts expected to increase 3 million 400 thousand barrels, the previous value decreased by 3 million 260 thousand barrels. Cushing crude oil inventories increased by 307 thousand barrels, the previous value decreased by 175 thousand barrels. Last week, US crude oil imports increased by 611 thousand barrels to 7 million 500 thousand barrels a day. Last week, the U.S. API refined oil inventories decreased by 270 thousand barrels, the former value decreased by 2 million 20 thousand barrels. The Conference Board (ConferenceBoard) data show that the U.S. February consumer confidence index fell to 92.2, less than the expected 97, the lowest since July. Physical gold demand continues to be affected by the high price of gold, the Chinese market price of gold also joined the ranks of India, there has been a discount, showing weak demand. During the secret speech ona U.S. crude oil futures, expand the decline, down more than $1, to $31.89 a barrel of crude oil; Brent also brush the new low to $33.43 a barrel, because the market had expected suggesting that output of Saudi arabia. The price of gold has been rising this year because of the impact of global financial markets. However, Huang Lichen believes that the gold market in the short term may be amended. Yesterday, the strong rebound in the stock market again weak performance, risk assets once again withdraw defense, gold rebounded higher, once again the risk of buying demand. Because the global stock market once again "cut vegetables", the market risk appetite weakened, from the daily level of view, spot gold opened from 1200 above rebound, now rebounded to 1220 above, the highest upward hit 1227.24 U. S. dollars ounce. On the index of MACD red energy decreases, double cross bonding tends to Sicha trend, KDJ double down, the overall risk of biased downward. 4H level, bull arrangement, the current upward trend in gold prices is obvious, but will continue to move within the range of 1205-1230 U.S. dollars concussion correction, look down in the day. Spot gold is part of a single point: 1, above the 1228-1230 line short, stop 4 points, near the target 1208 below 2, near 1205, stop 1201, target 1216-1220 line of silver tumbled, the fundamentals of the stimulation of the price of silver gold neither painful nor itching, relying on the trend of evolution. The daily level recorded on Tuesday a long Yin K line under the shadow of yesterday, Yang received a short, the decline has slowed, MACD Sicha down waiting for short return, red kinetic energy fueled the shrinkage after short arrogance, this temporary concession. K.

黄力晨:金银日内看回调 沥青反弹再做空 客户端 查看最新行情   周二(2月23日)刚刚在周一形成了良好的风险偏好情绪再度消散,伴随着股市和油市的下跌,避险交易在周二重燃。中国下调人民币中间价打压市场风险偏好,美元在上涨过程中暂时整固。原油方面,沙特油长不会减产的坚定言论再度打压了市场上最后一丝减产的希望,再加上美国API原油库存数据大增,油价在周二的交投中再度败下阵来,收盘大跌4%。   API公布,最新一周美国原油库存大增710万桶,至5.062亿桶,调查的分析师预计为增加340万桶,前值减少326万桶。库欣原油库存增加30.7万桶,前值减少17.5万桶。上周美国原油日进口量增加61.1万桶,至750万桶。上周美国API精炼油库存减少27万桶,前值减少202万桶。   美国谘商会(ConferenceBoard)数据显示,美国2月消费者信心指数下降至92.2,不及预期的97,为7月来最低。实物黄金需求则继续受到金价走高的影响,中国市场金价也加入印度行列,出现了贴水,显现出需求疲软。欧纳密讲话期间,美国原油期货扩大跌幅,下挫逾1美元,至31.89美元桶;布伦特原油亦刷新日低至33.43美元桶,因市场原本预期沙特将暗示减产。今年以来,正是受到全球金融市场的动荡所带来的避险需求的影响,金价一路走高。不过黄力晨认为,短期内黄金市场可能会有修正。   昨日反弹强劲的股市再度表现疲软,风险资产再度回撤防守,黄金则反弹走高,再度受到避险买盘需求。因全球股市再度“歇菜”,市场风险偏好减弱,从日线级别上来看,现货黄金开启自1200上方反弹,目前回升至1220上方,日内最高上行触及1227.24美元盎司。指标上看MACD红色动能减小,双线趋于黏合有交死叉趋势,KDJ双线回落,整体风险中偏下行。4H级别上,多头排列,目前看金价上行趋势明显,但会继续在1205-1230美元的区间内运行震荡修正,日内看回落。   现货黄金部分做单点位:   1、上方1228-1230一线做空,止损4个点,目标1208附近   2、下方1205附近做多,止损1201,目标1216-1220一线   白银震荡下跌,目前基本面的刺激不痛不痒,银价依托黄金的走势演变。日线级别周二录得一个长下影的阴K线后,昨日收阳,空头颓势有所减缓,MACD死叉向下等待空头回归,红色动能缩量完毕,助涨空头气焰,今天暂时让步。KDJ向下发散,布林带开口上扬,决战在即,多空势均力敌。我们上方看3250位置的压力。下方看3100的支撑。长期来看涨势似乎已经走到了尽头,操作上建议大家以高空对待。   白银(宁贵银)部分做单点位:   1、上方3200附近做空,止损30个点,目标3140   2、下方3130附近做多,止损30个点,目标3180   原油(宁贵沥青)日线图上,成功收取了一根大阴柱,屡次反击未遂,这次受到技术面及消息面的双重影响下沥青退居二线,强龙难压地头蛇,沥青的多头终究是胎死腹中。4小时来看,布林带张口,沥青在布林带中轨运行,MA5、MA10形成死叉,附图MACD也形成死叉,绿色动能持续放量,KDJ、RSI均走平,结合4小时来看,空头占据一定的优势。但是经过昨日市场的洗礼,沥青必会有一波反弹整理,沥青在布林带欲脱离中轨运行,MA5上穿MA10形成金叉持续放量,KDJ、RSI均向下发散。昨日沥青黄力晨建议3200-3220空单完美获利3020-3000一线,预计跌破该线的追空单未能实现,今日依旧看空,目标维持昨日2920附近。   沥青部分做单点位:   1、上方3030-3050一线做空,止损40个点,目标2920附近 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:

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