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周二黄金美盘之前保持高位震荡,随后PPI数据公布虽然利空,不过高通胀给黄金带来了支撑,随后美债美元上涨和匈牙利结束QE,黄金最低到1766,随后反弹到1777后回落到1770收盘;
周一策略1786.9/1790做空(本周最高1791.5)昨日在数据前1780最大收米10美刀离场;随后1772/1768买涨(本周最低1766)在1777最大收米9美金减持,昨日收米19美刀
日内关注零售销售和次日凌晨货币政策
从基本上面看,随着PPI和CPI数据公布,高通胀依旧在维持,这给M联储加息提供了有效支撑,加上美债和美元持续走高,更是加大了市场对加息的预期,日内重点关注零售销售数据和次日利率决议以及鲍威尔讲话
技术面看目前大周期重点关注1765~1760支撑,破位进一步看到1725/1680;上方关注1795~1800密集压力,进一步看到1815
1、1772/1768继续持有,破位1765止损(破位标准是跌破1765且刺穿1760),目标1779/1785
2、1789/1793.5做空,目标1782/1775,破位1800护仓
3、护仓多单止损1808/1812,止损1795
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