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简要说下最近的交易策略,成则由之,败也由之。首先股指是空头策略的,因为货币和财政的收紧是一张明牌,就看金融市场如何看待其进展以及影响,在当前这种情况下,我是只做空不做多,同时前期很多获利的空单需要补仓回来,但是道指的大幅反弹致使资金回撤很明显,大家可以看纳指和德指,其实反弹力度并不强;而道指的大幅反弹来源于原油的强势,一个是地缘政治关系致使供应不能超出预期,其次飓风致使库存大幅下降,加上货币宽松总是对油价有一定的支撑,接下来就看页岩油的复苏以及原油供给的调整,还要看原油需求是否超出预期,原油在45-65都是正常的,超出区间,就需要战略上给出操作指引。有些看纯技术面,我没这个本事,也不太相信,因为一个官员的一句话会使得价格大幅波动。至于,黄金在1760的多单,也是一个尝试性的多单,因为昨日美元指数实在较弱,英镑、欧元均表现十分强势,白银也比黄金强,而且鹰派的政策讲话,也未对黄金产生巨大的向下力量,但是不管怎么说,逆势做多黄金是一个失败的选择。接下来继续持仓,观望为主。#imTrader交易大赛# #记录你的交易# #怎么做好风控# #XAU/USD#

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