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周五黄金围绕2020到2040区域震荡,基本在预期之内,现在黄金波动更多还是因为避险在高位横盘整理。如图目前反弹运行2025位置,其实黄金压力还是2035打破2040区域,目前支撑1990才是关键,如果这里失守才是打开下跌空间,昨日技术白天低点不断下移,多头动能衰退,同时伴随大单成交进20亿,说明在年底以后多头洗盘出局观望为主,毕竟2050上价格都是三年上轨附近成交密集区域,连续一个月横盘震荡不能突破,那么物极必反随时下跌夯实底部,同时巴以冲突1835的避险缺口一直没有回补,涨到哪里不去猜测,但是没有回补缺口夯实底部,那样多头反弹都是走不远,目前预期2005到2035震荡,也就是说反弹2035上继续做空进场就好,至于多,暂时关注1990到1985区域支撑反弹力度。 激进2005到2000区域择机做多,消息面上周美联储讲话也是暗示24年降息幅度和时间低于市场预期,这也是对黄金最大利空,最近黄金震荡上涨更多是避险导致,降息预期在1620涨到2145都是已经提前反映,就如去年连续加息10次以后,前面加息黄金震荡下跌,在连续加息75基点和50基点以后,市场都是预期后期加息幅度力度暂缓甚至停止,那么黄金不但加息不跌,反而上涨到2070区域,永远记得资本人家都是提前做预期,真到消息兑现鞋子落地是变盘的开启,因为所有人

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