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当心黄金跌向1900新低

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风险控制是投资交易的核心,净值的最大回撤最好控制在10%以内,年化收益风险比在200%以上,无杠杠市场仓位在20%—90%变换,高杠杠市场以1倍杠杠作为底仓2—5倍杠杠作为浮仓,盈亏比控制在1.5以上。严控风险后收益超过其他利率就可以充分利用其他资金入市,扩大本金追求复利成长,睡后收入在等你。

当心黄金跌向1900新低

经过3个交易日的连续下跌,下坡形K线组合已经形成,尤其是美盘连续向下特征明显,最少等同于2015.58—1902.82的下跌趋势级别出现,甚至等同于2075.25—1862.83的下跌规模在9月份也不能排除。日线周期下,2075.25—2015.58—1992.37波段高点下移,1862.83—1902.82波段低点上移,宽幅震荡格局还将持续。1862.83—1902.82的趋势线已经跌穿,今晚若不能拉起大阳,则表明主力资金将放弃1862.83—2015.58—1902.82—192.37的收敛三角形特征,而过度到2015.58—1902.82—1992.37—1880附近甚至更低的倾斜下降趋势中。如此1880新低以下的大跌才构成黄金坑,而主力资金在1902.82—1992.37已经吸够了空头筹码,非农只有拉起大阳并且收住,否则持续跌向下周美联储利率决议概率大增。

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