Tao Hongda: Analysis of the latest market trend of foreign exchange gold in the European market on 3.22, and the precise operation layout of crude oil

 On the golden day disk:

  

  1: 4 hours of continuous downward adjustment. In the short-term within the day, there was a rebound correction, but the lower track did not touch. Therefore, the day is short and much, and it is directly placed on the lower track. The reference dynamic position is 1910-1915 here. Doing more here is more stable, and it is the support of the card; for example, yesterday's 1950-1945 rebound, although there will not be much profit, it is still possible to rebound for 10-15 US dollars.

  

  2: Day K, the bardo runs downward, the indicator is dead crossed, it is recommended to choose high-altitude treatment within the day. In terms of structure, there are currently two upward trend channels on the disk. Therefore, it is still necessary to get stuck. The short-term is the upward trend structure of 1810-rising 2010; the long-term trend structure is the upward trend structure of 1610;

  

  Therefore, through the short-term and long-term structural trend charts, we can get the disk signal - 1:1610 The long-term upward trend is still there, and the market has not yet started to correct the long-term upward trend of $400; 2: Long-term , 1810 rose to 2010, temporarily fell below the upward trend channel, the market entered stagflation, and may be corrected.

  

  The judgment of the second high point, generally speaking, the recovery of the normal trend is the gear line, as shown in the figure, it is about the position around 1970, but the strong market can hit a flat top, the position of 2010, a stronger market , It is possible to continue to brush out the high point above 2010, and then fall. Therefore, it is judged according to the situation here.

  

  To put it all together: on the short-term within the day, look at the rebound correction for the time being. The position above and below 1970 will be empty for the first time; Tao Hongda is following up!

  

  原油昨日启稳低点之上走反弹,重新回到区间上轨69.70附近。从日线的收盘来看,低位双连阳。有轻微止跌反弹的迹象,且配合了下探回升的十字K线。结构上还是有所止跌,就看反弹的力度持续性,来决定短线是走反转还是反弹修正。目前的结构暂时定义为反弹修正。主流趋势还处于下行当中。消息方面:美联储即将发布货币政策会议。市场预计加息25个基点,低于之前预期的加息50个基点。一些顶级央行观察人士表示,美联储可能暂停进一步加息,或推迟发布新的经济预测。

  

  4小时图下探回升回到次高点,在台阶弱势下行台阶中,触及次高点尾盘应该承压收回低位,这样隔日才能进一步走弱。而昨日在反弹触高后没能压制回落,反倒是收在高位,且收在中轨之上,使得短线消弱了上轨的阻力。今日短线不排除顶开上轨再走进一步反弹。就看短线反弹的持续性。来决定日内区间。多空也是来回切换,留意形态来决定操作位置。

  

  原油:反弹70.50附近先短空一次 防守71.2目标69.50-69.0.其它位置再以临盘为准。

文章没有太多华丽的语言与鸡汤,纯技术分析帖,我相信每一位读者缺乏的不是鸡汤,而是实实在在的分析与强大的理论,写文不易,希望对你们交易上面带来一些帮助,最后祝大家交易愉快。

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Origin blog.csdn.net/thd112211/article/details/129709557