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整体来说,最近走势符合预期(详细见9月6日晚的周末策略指引):美元反弹测试阻力,美股下挫寻求支撑;原油的技术面圆弧顶,看跌走势,但没想到跌得如此之猛,随之带动天然气大跌也是始料不及;黄金处于三角形整理之中,在等国际经济摩擦、脱欧进展以及欧洲央行决议的具体情况,看是否能给出方向,而白银似乎比黄金更看跌。在外汇品种中,英镑弱势不改,但随时会受到脱欧消息面影响,从逻辑上讲硬脱欧是所有不愿看到的结果,个人来说则偏乐观其成。所有品种中,按照计划建仓欧镑空单,并在1.564附近关注欧加的空单机会。本周截止9月20日之前,股市和非美货币的弱势未必能得到趋势性改变

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很好

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