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#XAU/USD# 10.11黄金策略分析 上周的非农如预期走势,也是相当漂亮,由于操作激进也损失一些,那么这周如何操作? 技术面,黄金上周主要在50%斐波那契回调线附近持续震荡,上涨受限。建议卖出为主,止损在1770美金。 上周三,在俄罗斯领导人向欧洲保证天然气供应后,全球风险情绪出现了戏剧性的转变,所谓的“能源危机”情绪降低,原油天然气等能源暴跌。除此之外,美国参议院共和党领袖麦康奈尔表示,该党将允许将联邦债务上限延长到12月,以避免联邦债务违约,美国债务危机也及时得到缓解。这进一步刺激了投资者对股票等高风险资产的兴趣。日元再次走弱。 全球能源危机和美国债务危机的快速转变给风险资产提供了支撑,相应的避险货币受到阻力。但债务危机尚未完全解决,能源依旧短缺,不排除风险情绪激增的情况。 技术面,布林带轨迹线开口扩大,上涨行情受到一定阻力。RSI和MACD指标线处于高位,或可达到超买现像。警惕风险情绪变化。投机者可以等待抛售。 今日现价单,1750附近可以做多,上方1760减仓,看1765,上方能到1762上就可以布局空单,1768加仓空,可以看1745,止损1774 油可以做空,可以看79

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