Deng Foote limited support for oil prices to limit production of gold striking one snag after anothe-sorpack

On foot: Gold Limited production on oil prices limited support striking one snag after another client to view the latest market on Thursday, the United States announced the second quarter GDP final value was further revised upward by 0.3 percentage points to 1.4%, the data is better than market expectations of 1.3%. The strong performance of the data has further raised the Fed’s expectation of raising interest rates in the year. At the same time, the number of initial jobless claims was 254 thousand, which is better than that of the 260 thousand. Both economic and employment data have improved the expectations of the Fed’s interest rate hike. The dollar index daily chart, the average system formed through repeated, objective direction sideways. Affected by the overall market turmoil since August 18th, the turmoil in the market will continue for a long time to come. From the hourly chart trend, the dollar index since September 22nd has been in a certain slope of the adjustment range of internal operation, the operation of the middle position in the shock interval sideways, the days of continued unrest. After the outbreak of the crisis in the Deutsche Bank, Germany’s second largest bank performance decline, Commerzbank currently planned layoffs, and formulated a series of restructuring plan. The spread of the German banking crisis has raised the risk aversion of the market, which provides support for the gold movement. Gold daily chart pattern to within the range of operation, the whereabouts of the recent adjustment intervals along the nearby support continuous collection of two long under the shadow of the K line, further limiting the interim callback space. Gold pullback is expected to support the continuation of the medium-term rally. From the hourly chart trend, gold trading hit a low of 1314 for supporting short-term oversold bounce, although short-term rebound momentum slight advantage, but with the decline since September 26th compared significantly disadvantaged, but also have certain effect on resistance near the 1328 price, gold is expected to rebound difficult short-term there is still falling space. Short line support 1314, resistance 1328. Silver daily chart repeatedly through the formation of the average system, mid sideways situation continues. From the hourly chart trend, silver in the week falling to 18.90 support low adjustment was also driven by gold and silver while rebound, but the rebound in the process characterized by low slope, strong repeatability, is expected after the continuous adjustment of low silver will further fall to 18.90 week lows even further to 18.65. Silver short line resistance 19.40,19.65. The medium-term trend of gold and silver sideways. Gold and silver after the early fall short although there have been varying degrees of rebound, and early fall obviously weak, is expected to rebound difficult still falling space. The renminbi will be added to the IMF basket of the IMF (micro-blog) SDR tomorrow. Before the RMB into the basket, affected by the overall market turmoil, the volatility of the short-term also further increased. Dollar daily chart of the average system formed repeatedly crossed, the middle of the turbulent situation continues. Since July 18th, the dollar has been running in an upward and downward adjustment range, with the narrowing of the interval.

登富特:黄金一波三折 限产对油价支撑有限 客户端 查看最新行情   周四,美国公布的第二季度GDP终值被进一步向上修正了0.3个百分点至1.4%,该数据也好于1.3%的市场预期。该数据的强劲表现使美联储年内升息的预期进一步升温。同一时间公布的初请失业金人数为25.4万人,也好于26万人的市场预期。无论是经济还是就业数据的好转都使美联储升息的预期得到进一步的强化。   美元指数日线图对均线系统形成反复穿越,客观方向横盘。受到8月18日以来整体市场动荡的影响,未来很长时间内市场的动荡局面持续。从小时图走势来看,美元指数从9月22日至今一直在一个带有一定斜率的调整区间内部运行,当前运行在横盘震荡区间的中间位置,日内的动荡局面持续。   在德银爆发危机之后,德国第二大银行德国商业银行业绩大幅下滑,德商银行目前计划大幅裁员,同时制定了一系列的重组计划。德国银行业危机的蔓延使市场的避险情绪重新上扬,这也为黄金走势提供了支撑。   黄金日线图以区间内向下格局运行,近期下落到调整区间下沿附近获支撑连续收出两根带有较长下影线的k线,限制了中期回调空间的进一步展开。预计黄金回调获支撑中期的涨势延续。从小时图走势来看,黄金上一个交易日创出短线新低1314获支撑超跌反弹,虽然短线反弹动能略占优势,但是与9月26日以来的下跌相比明显弱势,同时在1328价位附近也有一定的阻力作用,预计黄金反弹遇阻短线仍有下落空间。短线支撑1314,阻力1328。   白银日线图对均线系统形成反复穿越,中期的横盘震荡局面持续。从小时图走势来看,白银在周内下落到18.90获支撑低位调整,虽然白银受到黄金的带动也有反弹,但是反弹过程中表现出低斜率、反复性强的特征,预计经过连续的低位调整白银将会进一步跌向18.90周内低点甚至进一步下落至18.65。白银短线阻力19.40,19.65。   黄金和白银中期走势横盘。黄金和白银经过前期的下落短线虽然出现了不同程度的反弹,与前期下跌相比明显弱势,预计反弹遇阻仍有下落空间。   人民币将会在明天加入国际货币基金组织[微博]特别提款权(SDR)的货币篮子。在人民币入篮之前,受到整体市场动荡局面的影响,短线的波动也进一步加大。   美元 人民币日线图对均线系统形成反复穿越,中期的动荡局面持续。美元 人民币从7月18日至今一直在一个上下沿逐步收窄的调整区间内部运行,随着收窄区间的进一步压缩,未来美元 人民币面临突破。从小时图走势来看,美元 人民币上一个交易日回调到9月21日低点6.6660上方获支撑企稳回升,当前运行在9月20日以来的横盘震荡区间的中间位置,由于短线向上动能略占优势,日内仍有进一步向上空间。受到美元 人民币近期的区间格局的影响,短线的动荡局面持续。   美元 人民币中短线走势均以横盘震荡格局运行,受到连续几个交易日动荡的影响,日内区间格局延续。   本次OPEC会议上产油国意外达成限产协议对国际油价形成了强劲的支撑。虽然协议达成,但是未来限产协议能否落定执行才是市场的焦点,由于主要产油国对于增产乐此不疲,协议达成就有伊拉克等国准备“毁约”,这也会制约国际油价进一步上行的幅度。   原油日线图在均线系统的依托作用下以区间内向上格局运行,在区间上沿附近原油收出一根十字星线,限制了区间内向上空间的进一步展开。从小时图走势来看,原油短线无论是趋势还是动能方向都是向上,经过昨日的连续冲高,当前原油在50.40位置遇阻技术性回调,短线的回调与之前的上涨相比明显较弱,预计经过连续的调整原油延续短线涨势。短线支撑48.50。   原油中期横盘,短线表现出了明显的强势,不过受到中期调整区间上沿的阻力,进一步上行空间有限。   整体来看,美元指数无论是中期还是短线方向都表现出明显的动荡,黄金和白银以及原油和人民币走势都是如此,虽然原油短线受到基本面因素的支撑出现了连续的上涨,受到中期的阻力作用,进一步向上空间和幅度都受影响。 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: