Entering the adjustment of gold and yen in the body, British CPI became the focus of attention-残清1864

Xiang Zhengwen: Gold yen adjustment into the British CPI into focus on the first day of trading after the client to view the latest market new year holiday for American Presidents Day holiday, the disk slightly light, big money into the adjustment of the state, especially the yen gold hedge assets, before and after the Spring Festival significantly stronger, at present a sharp pullback the situation of crude oil is also below the false hit low of 26.05 after the return to the 30 mark. Recently, apart from A shares, the global stock market collective diving once again triggered financial crisis concerns, coupled with unstable situation in the region, hedging sentiment led the market, gold rose only nearly half month 160 U.S. dollars, the United States and Japan also fell below 120, dropping 110 pass. Monday’s opening, A shares did not fall sharply, the Nikkei index also rebounded a thousand points, the European major stock markets also rebounded; thus make hedging cool down, short-term madness will return to reason. Early Tuesday, the Shanghai index continues to bounce back to 2800, or nearly 2.5%, the Nikkei index continued Monday rebound rose more than a hundred points, so a weaker yen to continue to suppress the gold, gold disc below the thousand mark, Japan stabilized 114, on line 115, since the lows of nearly 400 points. In addition with the financing characteristics of the euro, is also a sharp correction, in the early stage of turmoil in the euro hit a nearly 4 month high of 1.1375, the stock market rebound in the euro pullback, while the dollar index fell overnight rebound, coupled with Mr Draghi’s speech still maintain dovish stance, reiterated its 3 could be relaxed, mentioned amid fears of a global economic downturn, exacerbated the euro fell short. Before and after the Spring Festival, the variety favored by the market turmoil, after short-term madness, adjustment will also be opened. Few days of data concerned, CPI is the main data afternoon in England, into the global economy in 2016 January for the British CPI turbulent, more pessimistic expectations for the -0.7%, the previous value of 0.1%, but the overall rate of expectations is relatively stable, should pay close attention to short-term downside risks to inflation fell to the pound. In addition, the EU summit on 18-19 February, what agreement will be reached, the risk of speculation back to Europe can not be ignored. This week, there were more British data, the British unemployment rate on Wednesday, British retail sales on Friday, so the European pound will become the focus of attention in the afternoon. Callback: the euro against the dollar fell below the 1.200 mark, the 4 hour chart below 55 hours moving average support, figure 28 and 55 average down pressure, is also facing pressure from high point down the line, short on altitude, 1.1185-90 short, stop 1.1220, target 1.1130 can reach 1.1100; Qingcang short, 25 point stop loss, target 1.1160. GBPUSD: maintain sideways trend, the daily average of 55, 28 pressure moving average support, and 4 hours and the average hourly chart goes to go flat, shock, back to 1.4400 mark, stop 1.4375, target 1.4455; rebound hit 1.4480 short, stop 1.4510, target 1.4410. After the steep decline in the dollar yen: large.

向正文:黄金日元步入调整 英国CPI成关注焦点 客户端 查看最新行情   新年假期过后的第一个交易日因美国总统日休市,盘面稍显清淡,大部货币进入调整的状态,尤其是黄金日元这类避险资产,在春节前后大幅走强,目前出现大幅回调的情况,原油亦是假跌破打新低26.05后,重返30关口。近期除A股以外,全球股市集体跳水再次引发金融危机担忧,加之地区局势不稳,避险情绪主导市场行情,黄金仅半月涨近160美元,美日亦跌破120下探110关口。周一开盘A股并未出现大幅下跌,日经指数也大幅反弹千点,欧洲主要股市亦出现反弹;由此令避险降温,短线疯狂过后将回归理性。   周二早盘上证指数延续反弹回到2800之上,涨幅近2.5%,日经指数延续周一反弹势头上涨超过百点,因此继续打压黄金日元走弱,黄金亚盘跌破千二关口,美日企稳114.0,上探115.0一线,自最低点反弹近400点。此外具有融资性特征的欧元,亦是出现大幅回调,在前期动荡市中,欧元一度触及近4个月的高点1.1375,股市止跌反弹令欧元出现回调,同时大跌的美元指数反弹,加之隔夜德拉吉讲话依旧维持鸽派立场,重申其3月可能宽松,提到全球经济下滑的担忧,加剧欧元短线下挫。在春节前后,市场动荡中获得青睐的品种,短期疯狂之后,调整也将随之拉开。   日内关注的数据不多,主要是下午英国的CPI数据,进入2016年全球经济动荡不安,对于英国1月CPI预期较为悲观为-0.7%,前值0.1%,但整体年率的预期相对稳定,要密切关注短期通胀下滑给英镑带来的下行风险。此外还有在2月18-19日的欧盟峰会上,将会达成何种协议,退欧风险被炒作不容忽视。本周公布英国数据较多,周三英国失业率,周五英国零售销售,因此下午欧洲时段英镑将成为关注焦点。   欧元兑美元:回调跌破1.200关口,4小时图跌破55均线支撑,小时图28和55均线向下形成压力,亦面临自高点下行的压力线,短线逢高空为主,1.1185-90做空,止损1.1220,目标1.1130;触及1.1100可轻仓短多,25点止损,目标1.1160。   英镑兑美元:维持横盘整理的走势,日图55均线压力、28均线支撑,而4小时图和小时图该均线交织走平,震荡明显,回撤1.4400关口做多,止损1.4375,目标1.4455;反弹触及1.4480做空,止损1.4510,目标1.4410。   美元兑日元:急跌之后的大幅反弹,周线头肩顶破颈线后存在反抽测试116.0阻力位,因此短线反弹不急于做空,可轻仓低多,114.25-30做多,止损114.0,目标115.0、115.50;触及115.80-116.0可建立中期空单,50点止损,目标112.0。   黄金:千二关口失手,将会继续深幅回落,将上周四的大阳吐回,不宜激进抄底做多,短线以逢高空为主,触及1202-03做空,止损1207,目标1195、1190。触及1184-85可短线做多,止损1180,目标1194。   原油:虽破前低但未加速,重返30关口,预示下跌的空间有限,低位的整理走势展开,步入上为时过早,震荡市短线高空低多,29.80-85做多,止损29.40,目标31.0;首次触及31.50-55做空,止损32.0,目标30.50。 新浪声明:新浪网登载此文出于传递更多信息之目的,并不意味着赞同其观点或证实其描述。文章内容仅供参考,不构成投资建议。投资者据此操作,风险自担。相关的主题文章: