总结:股指期货看一下六月的股市摘要

每月摘要股指期货看一下股市(6月摘要)6/1星期二股指期货似乎在1:50 pm处迅速减轻,并最终落在久违的中阳市线,但期货趋势比现货弱得多。 IF1106的仓位表明,多头与空头之间的差距再次增大,空头的确定没有任何动摇的迹象。鉴于强大的机构具有双向立场,因此冲击更符合其利益。预计在接下来的交易天,盘中波动将增加,并且盘中类似陷阱的趋势将增加。在外部市场上,交易个会员似乎没有从假期中恢复过来,趋势无精打采,主要商品维持在该范围内的波动并处于关键位置。这可能是新风暴来临之前的短暂平静。在国内股市上,尽管上海市场在过去三个月中经历了最大的涨幅,但交易量低迷令人失望。因此,周二的涨幅只能定义为改变跌幅的反倾销行情。今天的上方阻力是2770点,下方支撑是2680点。未来将在此范围内波动。对于今天的市场,预计会上升和下降。从个人股票表现来看,本轮下跌超过30%的股票在上海和深圳的比例为20:1,在深圳为14:1。在经营方面,持仓较重的投资者应珍惜增加和减持仓位的机会。拥有当前职位四分之一的投资者可以迅速筹集利润并交换股票。总排名不会增加。空头投资者关注超卖股票的机会。 ,坚持短期思维。最后,预祝全世界的孩子们幸福,活泼,健康地成长! 6/2星期三股指略有波动。 IF1106位置表明主净空高度已急剧平仓。上周提到的阻止下跌的条件是出现小幅波动和大量头寸。对于许多各方来说,它显示出一些亮点,但这只是一个必要条件,而不是充分条件。这时,许多各方都需要耐心等待,如果您轻率地进攻,您会被空中一方压制,许多方面都应努力保持结果并继续振荡几天。那些两次被击中谷底的人最好不要进来。

在外部市场上,欧美交易市场与亚洲交易市场截然相反。粗金属大幅下跌。黄金上涨,但白银下跌,美国股市一路下跌。美国发布的经济数据非常悲观。可以看出,欧美经济正处于极其复杂甚至混乱的阶段。在国内股票市场中,技术图形没有太大变化。上方阻力为2770点,下方支撑为2680点。未来将在此范围内波动。就热点而言,近几天来,极强和弱势的股票下跌了30%以上。超强股波动较大,适合激进投资者。极度疲软的股票涨幅不大,但总体表现优于大盘。适合谨慎的投资者。在操作中,保持1/4并在无法快速举起和快进的情况下运行。在周四6/3,它受到空头的强烈压制,盘中价格和收盘价均在这一轮中创下新低。 IF1106在午盘初触及盘中低点,并保持一个小时的低点。头寸稳步下降,后期清算中出现了急剧清算的对称拉动。立场表明,单边空头继续渴望获利,但盘面完全由空头主导,而空头会压制许多方面的挑衅。未来趋势将在100点之内减轻。在外围市场上,所有商品的特征都是微弱无序的冲击。等待周五美国经济数据在国内股市上发布,在清算当地债务平台的负面刺激下,美元开盘走低,并在强调的2680点附近找到支撑。该位置是连接1664和2319的上升趋势线,具有战略意义。鉴于银行股普遍崩溃,很难对该指数做出重大调整,但是个人股将比前一时期更加活跃,并且在此期间还将激进一些行业。

预计该指数今天将确认2680支持的有效性。在个股方面,超卖股票仍将是投资的首选。在操作中,保持1/4位置,快速进出。在星期五6/7,股指期货脱离了阳和阴的趋势,显示出短期内停止下跌的迹象。 IF1106仓位表明,面对漫长的周末,多头和空头都趋于一致,大多数人选择略微平仓。其中,以中国证券期货为首的单边空头更愿意继续获利了结,多方最终获胜。但是空头仓位只是获利了结,没有任何迹象表明会改变多头仓位。因此,如果过度上升,空头头寸仍将受到压力。在目前的位置上,国泰君安的巨大双边地位具有一定优势,并且也可以在盘中创造行情。本专栏坚持从低点到100点范围内波动。 IF1106的高端市场在3030外设市场。上周最引人注目的是美国发布的经济数据与预测值相去甚远,也与之前的稳定数据不同。大。所有这些都与量化宽松即将结束有关。这不是美国在实行重大政策之前第一次这样做期货公司,其影响目前未知。但可以预见,本月下半个月商品市场可能会出现较大的波动。由于预计世界经济将下滑,因此原油和其他工业产品疲软;但是美国数据拖累了美元,这使黄金的保值声誉趋势很强。在国内股市中,在确认2680点的支撑位有效后,逢低买入资金开始尝试性地介入。中央银行在漫长的周末没有加息。尽管这是在星期五做出的反应,但今天仍然是移动更多行情的绝佳时机。如果今天不能突破2770阻力区,那么后市很难乐观。

当然,交易量一直是测试反弹质量的有效指标。在部门方面,还没有进攻性部门,但是整个制药部门都处于支持区域,因此您需要注意。在操作中,保持1/4格,快进和快出。在星期二6/8,股指低开并向上波动,并盘中最高。战后IF1106的状况良好。主要的多头和空头有条不紊地减轻。中国证券期货早期最大的单边空头头寸持续减少表明,鱼体行情的单边下跌已基本结束。牢牢控制局面,多方不敢轻举妄动,而快速上涨只能激发空头压制的热情。以下是以国泰君安为代表的双边持仓机构的履约时间,其盘中普遍受到冲击。 IF1106的压力在3030线内。在外部市场上,美国宏观数据在投资者(尤其是原教旨主义者)的分析系统中造成了太多冲突和混乱。因此,他们只能屈服于技术派将锅中的糊状物捣碎。据推测,由于中国电力短缺,贱金属中的垃圾型铝几乎可以肯定会最终失败。美国股票的走势很难被看到,但是最近几天,它与中国股票最近连续下跌相似。总的来说,国际市场和国内市场的表现相似:有点冲动,有些困惑。国内股市,逢低吸纳资金谨慎操作,反弹相对稳定。当前指数已达到2745点附近的次应力区。从该行业个股的角度来看,支撑附近的大多数股票都显示出回弹力,而压力区附近的一些股票正开始试图突破。该药的反弹表明该行业的完整性。这些都是好的迹象,表明反弹仍是可持续的,但在突破2770点的阻力之前可能难以扩大交易量。盘中波动将增加,并且快速上升和下降的趋势将是一个骗局。

在操作上,位置可以从1/4增加到1/3,最大不超过1/2。增加的部分执行T + 0操作,而不追赶上升或阻止下降。在周三6/9,股指并没有接管强大的局面,但先是将其强势压制为向下,然后逐渐增加。 IF1106藏品显示,可怜的瑞达(Ruida)进入后就被短裤洗劫了。早期,中国证券期货最大的单边空头头寸连续第五天大幅减少头寸并获利,并继续减少约5,000手。第二大单边空头头寸继续减少其头寸超过1,000手。使许多政党感到沮丧的是,他们无法抵制其立场的不断减轻。他们别无选择,只能制止他们。价格几乎和最初的价格一样。这方面显示了这两家机构的资深商人,更重要的原因是多头缺乏人气,难以形成联合力量。基于此,后市仍将维持广泛的震荡,IF1106的阻力位在3030一线。在外部市场上,欧佩克部长级会议未能达成增加产量以促进原油大幅反弹的协议,但仍在此范围内波动。黄金由于伯南克的紧绷的吹气略有压力,因此我们必须警惕图表上出现双头风险。贱金属在回弹范围的上边缘受到较大压力。人民币兑美元汇率再创新高。一般而言,短期内外部市场显示出主导市场的新闻。国内股市尾盘突破2745点次压力区,下方挑战2770点阻力位。考虑到这一轮反弹的性质,低交易量是正常的。相反,如果交易量显着增加,则需要谨慎。 。可能的操作模式是各种冲击以测试上升。如果有大量股票集体上涨至2770点,我们需要保持警惕。

在操作中,空头投资者可以关注极强的股票和超卖的股票,他们的头寸控制在1/3之内;持仓的投资者严格执行T + 0方法摊销成本。在周四6/10的交易开始时,许多政党无意挑战小盒子的最大压力。 股指单方面下跌并创下新的收盘低点。 IF1106交易和头寸显示,投资者都选择盘中交易,特别是功能强大的机构,它们活跃于盘中交易,并且最终头寸变化很小。从这个角度来看,波动率行情可以维持,但是海通和国泰君安拥有大量的双边头寸股指期货看大盘,但他们的净空头仍超过3,000。不排除他们会在盘中恐慌行情期间减少持仓量。 IF1106下没有明显的支撑,阻力已经从3030跌至3015。在外部市场上,原油,黄金,美元和美国股票很少会一次全部上涨,而上涨幅度很小。振幅和随机波动。但是,这种统一反映出巨大的矛盾。俗话说,在明清时期,存在着隐匿的杀戮,唱歌和舞蹈兴起的杀人机会也很多。国内股市全天无法从平线中恢复过来,股指全线下跌。震荡范围从2680〜2770缩小至2690〜2755。 交易性别进一步减少。在这种作弊行情中,投资者应保持冷静。如果市场收盘跌破2690点,则预计将开始新一轮的下跌。操作上,如果周五早盘市场急剧下跌30 6/13 股指起伏,震荡下跌3个小时,并在最后一个小时强劲反弹,则维持1/4位置。

IF1106头寸表明,多头头寸的增加大于空头头寸,并且有更多新的多头头寸;持续减仓一周的CSI 期货似乎闻到鲜血,并再次出手并卖空了近一千手,国泰君安又增加了700多手空单。尽管合同交易仅剩一个星期,但搬迁尚未开始,期货折扣已达到14点。它表明多头和空头之间存在巨大的差距,并且一天中出现大的波动的可能性非常高。除非出现大量看涨,否则空头将主导董事会。如果迅速拉升,它将在短线遇到压力,上方阻力为3015,下方支撑为2928。外围市场方面,周五美元指数反弹超过1%,这对所有商品构成了很大压力。虽然不能说已经建立了美元的双底,但这种强劲的上升趋势值得期待。北京时间3月4日(星期二),重要的经济数据将在中国,美国和欧洲公布,投资者需要密切关注。投资者上周末一直希望的三价联系都没有实现,有关CPI在市场之外传闻的令人震惊的传言也没有实现。周五,国内股市顽强地支撑了2690点的支撑线,最高阻力为2755点。如果今天的反弹持续下去行情,投资者可以选择减轻头寸。操作上,维持1/4的位置,如果收盘价低于2690,则有望开始新一轮的下跌。 6/14周一股指走出谷底,再次反弹,与上周五类似,但显得更加稳定。从IF1106的增减情况来看,世界处于混乱状态,需要从另一个角度进行分析。迄今为止,IF1106的最大赢家是中国证券期货。目前,该机构的净空头头寸与上一时期相比很小。仅剩4个交易日,交易量并不大。一旦第一个大批永安人受了重伤,就有一种承认损失的方法,因此不应大量增加头寸。大华期货试图在本期中追捕3次最低价,而这次使用了两次交易,它已成为每日1,000手的最大净头寸,成本接近当前价格。它可能成为国泰君安和海通的目标。这两个机构在此期间都保持了很大的双边头寸,但净头寸又又很大。目前,仍有4,000余手和3,000余手的净空,并且还有紧迫动机。

最理想的趋势是在略微反弹后降低指数,并稳定减轻当前位置以下的位置。 3015处的较高阻力难以克服,而2920.处则较低。在外部市场,尽管美元指数小幅波动,但原油黄金均在下午大幅下跌并达到重要的支撑位。市场前景需要密切关注原油9 [k11]黄金 1510的位置。一旦跌破,可能会引发新一轮的下跌。在国内股市上,周一,许多政党再次固执地持有2690支持线。经济数据将于今天发布。实际上,根据最近的各种分析和谣言,除非CPI低于5.5,否则对市场的影响不会太大。最高阻力为2755点,并且缺乏整体行业热点。表现较好的股票处于极端状态,要么超强要么超卖,但是很难把握。在业务上,保持四分之一的位置。如果市场收盘跌破2690点,则预计将开始新一轮的下跌。周二6/15 股指表现出早盘的上涨欲望,并且在11点后在高位小幅波动,并且IF1106持仓量大大减少。立场表明,双方都在积极减少立场。昨天提到的大华期货终于赢了。从明显的减轻行为来看,这个想法是抓住一个超卖的反弹。现在国泰君安和海通期货拥有大量空头等待期货,这将为今天的市场提供一些支持。从趋势上看,期货价格达到下行压力线,突破的可能性不大,维持近期的震荡。 IF1107终于达到了宣布的位置。空头头寸与中国证券,海通和中粮集团控制的6月初合约相同,没有明显的多头头寸。

同期总持仓处于历史低位,这表明投资者对7月份趋势的分歧较小。以下交易每天的增仓情况尚待进一步判断。除农产品外,所有外围市场均出现了适度增长,但都处于起步阶段,技术意义不大。美元在尾盘交易中显示出走强的迹象。市场休市后,伯南克发表了有关美元和美国债务的演讲,这将在今天的远东交易中得到反映。国内经济数据良好,CPI低于普遍预期。但是,中央银行在证券市场关闭后立即将准备金率提高了50个基点,这表明政府对通货膨胀的容忍度为零。我对标准提高的有效性一再表示强烈怀疑,但我仍然保持我的观点。对企业特别是中小企业的损害已经显现。从理论上讲,中央银行将准备金率提高到100%,商业银行消失了,并恢复了计划经济。因此,在市场经济环境下,提高标准是一个倒退。只有同时提高利率和降低存款准备金率,企业才能生存并实现产业转型。以上结论可以从沙盘推演中得出。这也是投资顾问中级培训班发展与改革委员会的老师带给我的最大收获。在国内股市,周二的上涨可以放松投资者对2690点支撑有效性的紧张情绪。从分项指数的角度来看,涨幅最大的五位是:房地产,B股,金属,能源和金融。不包括B股,这都是重量级股票的聚集板块,从本质上讲,上涨仍然是捍卫市场的行为。就部门而言,除了水泥库存外,没有明显的总体影响。但是,最近这个行业的连续性不好,不适合追赶。

预计今天低开,支撑2690、和阻力2755。操作上,维持1/4短期短期交易,并在收盘突破时利用趋势。在周三6/16,股指期货开盘,并围绕一小时的价格波动,然后单边波动,并在日内低点收盘。 IF1106位置表明,多头和空头均为主动平仓。国泰君安和海通仍然有5,000个平仓头寸。如今,有一种动机来建立恐慌抑郁指数,以平仓低位。 IF1107的涨幅接近IF1106的涨幅,但是7月合约的总头寸很难达到6月的水平。从基础上看,期货当场折价7点,这表明投资者对后市比较看跌。如上周本专栏所述,在外部市场上,糟糕的美国经济数据肯定会使欧洲经济恶化。隔夜美元指数大幅上涨,市场前景毫无悬念地挑战了之前的高点。美国股市和大宗商品市场阴云密布,原油跌破了一个多月以来的最低点,为96美元。下一个重要支撑位是93美元的中期上升趋势线。显示出投资者对美国经济的悲观预期。由于美国国会对主权债务上限问题的坚定立场以及欧洲债务危机的进一步加深,投资者选择了贵金属作为避风港,黄金和白银的表现相对较强。需要密切关注最近的国际趋势,以防止出现全球性系统性风险。在国内股市上,上证综指整日无法转为红色,该行业的连续性非常差,性机会稀缺。目前,索引已达到较小的循环时间窗口。预计今天它仍将低开并振荡。它可能会测试之前的低点。密切关注2690点的支撑。这次不要轻易抓住反弹。最高阻力为2755点。

在操作中,短期保持交易为0〜1/4位置。如果市场收盘价低于2690,则可能引发新一轮的下跌。在周四6/17,股指期货大幅低开,然后振荡并以盘中低点收盘。公牛没有力量进行反击。 IF1106仓位表明,双方已经加快了清算速度,但在仅一天交易的情况下,仍然有超过10,000个空位,这是前所未有的。国泰君安拥有3,000多手的净空。演出很平静,我今天很期待。单击以平静地平仓。 IF1107达到新的低点,增加幅度增加。新的多头加入,但旧的多头谨慎。旧的短裤积极地扩大了头寸。就强度而言,短裤具有绝对优势。可以预期,当今的市场状况将是动荡的,将很难关闭市场。在外部市场,在前一天(k4)暴跌之后,双方都喘了一口气,表现平平。经过一两天的整合,预计它将在趋势方向上再次急剧波动。国内股市跳入缺口完成了下行突破。日内波动将重复出现,但短期和中期方向仍向下。上方阻力从2755点跌落至2691〜2705点之间。较低的支撑不是很清楚。去年国庆节后缺口的向上突破,2650点的下缘勉强支撑,可以提供相对坚实支撑的位置约为2580〜2600点区域,预计今天将小幅波动,如果下午趋势非常疲软,请当心周末加息。操作上,空头头寸被休息,周末选择股票。 IF1106的交付已​​在6/20星期五完成。正如上周提到的那样,多头和空头之间不会有大多数人所期望的大战。如果有的话,那只会是短裤的大屠杀。在最后一天,多头被窒息了。

该合同已创下多项记录,包括最大的交易量,最大的未平仓交易量,最大的单一机构交易量和最大的交付量。 IF1107持仓表明,海通,中国证券,国泰君安和中粮集团仍持有空头头寸;多头头寸的格局发生了变化,南华和信达跃居前两名,而传统的永安则大跌至第三位。前三名净头寸超过所有净多头头寸。由此可见,空头占主导地位,逢低买空多头持续成功。从技术上讲,下方没有明显的支撑,上方阻力位于2940线。外部市场,原油跌破盘中,尾盘几乎收于93美元的重要支撑位。一旦跌破,将回到85美元左右。工业产品排列有序;值得注意的是,恒生指数跌破了去年11月的水平。高柜的趋势已经过去,到最近的支撑的距离超过4%;继续关注中国概念股在美国的诚信危机是否会蔓延到国内的创业板和中小企业板。在国内股市,去年10月的上行缺口已经填补,下一个支撑位在2570〜2600地区。自4月18日以来形成的压力线正在迅速下降。今天的位置接近2700点。如果角度太陡,将来索引会在平移冲击中突破。到6月底,国际经济形势存在许多不确定因素,股票市场很难表现良好。就个人库存而言,很长一段时间以来没有趋势性机会。现在很难找到结构性的机会。它们只能是零散的个人商机,很难操作。在操作中,空头头寸或基金的1/4是短期的。

6月21日(星期一),股指期货处于低位波动,盘中多头和空头转换频繁。 IF1107头寸表明主要的空头头寸保持稳定,而主要的多头头寸有一定的背离,并且底板和止损指令有效。这表明单边跌势已经结束,但空头头寸的强度使急剧反弹的可能性很小。外部市场方面股指期货看大盘,原油维持在93美元的支撑位,黄金在较高水平上显示略有信心。基本金属在前一个阻力区域遇到了巨大压力,农产品表现出季节性下降。一般而言,国内股票市场在此范围内。尽管上证综合指数有第三个差距,但深圳和沪深300指数没有差距。因此,上证综指的差距可以看作是普通差距,技术意义不大。指数下方的支撑位在2570〜2600点区域,第一阻力位在2650点,强阻力位在2700点。预计今天将是小幅波动行情。在部门方面,最近几天信息和医学的机会将急剧下降。保护市场所涉及的房地产期货,矿业和财务表现可能相对疲软。在运营上,请使用少于1/4的资金参与短期投资。周六6/22 股指在过去一周内反弹不错。 IF1107头寸表明主要的空头头寸正在积极清算。信达在主要的多头头寸中已经利用了这一趋势。多头头寸不是传统的多头头寸,如热钱行动。一般而言,三大主要净头寸仍超过所有净多头头寸。净多头头寸不超过1,000手的金融机构的头寸差异很小。因此,很难指望多头会联合空头。

预计在上升之后,短裤将选择密封压力。在外围市场,近期原油表现非常疲软。如果延迟回到96美元以上,它很有可能会下跌93美元;黄金它是包围还是没有进攻,还是无法高水平突破仍需拭目以待;基本金属范围内部精加工将持续数天。在国内股票市场,第三个缺口已被弥补,基本符合预期。指数下方的支撑位在2570-2600点区域。今天将突破2650点的第一个阻力,但是目前尚无法克服2700点的强大阻力。今天,提防冲高后回落。大多数表现较好的股票都非常强和非常弱,因此很难掌握。在操作上,使短期资金参与保持在1/4以内。周六6/23 股指略有波动。 IF1107头寸表明,大多数主要的多头和空头头寸都选择减轻其头寸。其中,减轻空头的热情远大于多头。与之前的记录相比,当前净多头和空头头寸之间的差距最小,这是一个积极的信号。令人不情愿的是,多个单一机构的股份太少了,没有领导层机构举手回应,只有短期的参与者才进出。 Getting rid of the downturn also requires the cooperation of the spot market. In the external market, the Fed’s June meeting of seats, which is of global concern, is in full compliance with market forecasts and the overall market performance is stable. Crude oil rebounded close to the resistance of 96 dollars. After Bernanke’s speech lowered US growth expectations and ruled out the new monetary easing policy stimulus, US stocks were under pressure to close down,黄金 fell from the high, base metals continued to fluctuate slightly, and agricultural products fell It may have exceeded seasonal factors.

In the domestic stock market, the next resistance of the Shanghai Composite Index is 2675 points, and the strong resistance is 2700 points, supporting 2610. The shrinking volume restricts the further development of 行情, and the poor persistence of individual stocks makes it difficult to grasp. Be cautious until the long signal fails to show further, and the overall view has risen from bearish to neutral. Operationally, maintain short-term participation of funds within 1/4. 6/24 Thursday 股指after an hour of proven support in early trading, the unilateral volatility rose, and the momentum was like a rainbow. IF1107 positions show that short positions have continued to take the initiative to lighten their positions, and Haitong, the largest net short, even made a short-turnover operation; although the overall position is decreasing, the net long and short positions are increasing, indicating that small households are evacuating and the institutions are divergent.但它正在增加。 The gap between net long and headroom is further narrowed, and the market outlook is likely to fluctuate widely. In the peripheral markets, after a day of fermentation, European and American markets have made positive interpretations of Bernanke’s speech. Crude oil plunged more than 4%, fell below the important support of 93 US dollars, the next target is 85 US dollars;黄金 plunged 30 US dollars, fell below the mid-term support line, the market outlook is not optimistic. It wasn’t until the afternoon that investors’ panic eased slightly. At this point, all varieties have fallen below the upward trend line except for beans with a smaller increase in this round. Regrettably, the Asian market did not fully reflect this, and today’s replenishment is inevitable. In the domestic stock market, Shenzhen has the strongest trend, breaking through the steep downward pressure line and hitting a consolidation zone high. Shanghai has the weakest performance, stopping before a strong resistance of 2,700 points, maintaining the previous view that 2,700 points are strong resistance.

沈阳股指吧 股指期货_股指期货看大盘_股指期货跳水第二天大盘

It is expected that the market will open lower today due to external influences, but there will still be upward momentum after bottoming out, and the overall situation will fluctuate widely. Regarding the sector, pay more attention to oversold stocks, and participate in short-term participation if it is pulled up during the session. Operationally, keep funds within 1/4 of fast forward and fast out. 6/27 Friday 股指make persistent efforts and continue to grow red. IF1107 positions show that net long and short positions have become evenly matched. It can be seen that the current divergence is huge. The graph shows that the rebound has broken through the pre-ordering platform. The multi-party has occupied geographical advantages and people. The current shortage is Tianshi. The short side’s main force began after continuous lightening. Blocked, there will be fierce competition today, and the disk performance is likely to fluctuate widely. In the peripheral market, the economic data released by the United States basically met expectations, which proves from the side that the data that differed greatly from the previous one was manipulated.黄金 barely gained support at 1,500 US dollars.黄金, crude oil and corn, which are the most trending this year, broke down last week. The CRB index compiled for major commodities broke through the bottom of the descending triangle last Friday. The future of the commodity market is not optimistic. In the domestic stock market, the index continued to rise sharply last week, but specific to individual stocks, the excitement is on the contrary: the previous support has rebounded to varying degrees; and the oversold also rebounded to the pressure; the stocks that appeared in the attack pattern did not increase. This round of rising is still treated as an oversold rebound. It is hard to say whether the previous low is the big bottom, but the second dip can be expected. It is expected that today will be a trend of rising and falling. In terms of sectors, machinery and home appliances showed some offensive stocks.

In operation, investors with heavier positions can take the opportunity to lose weight, and about 1/4 position investors continue to short-term access to stocks that have been weaker in recent rebounds and are still at the bottom. 6/28 Monday 股指期货 fluctuated slightly around the settlement price. IF1107 has relatively clear holdings. Most longs take profit to lighten their positions and most shorts take the attitude of blocking rallies. Except for Huatai Great Wall to complete a long somersault, there is no aggressive operation in actual long and short positions. It reflects that most investors recognize the current position and are cautious about the market outlook. Mild shocks will be acceptable for both longs and shorts. In the external market, despite the slight decline in the U.S. dollar, precious metals, crude oil, and agricultural products are still under significant pressure after the continuous plunge. Investors need to pay attention to whether the Greek tightening policy can be passed this week; domestic commodities launched a new round of decline yesterday, which is related to officials The statement that inflation is controllable is not unrelated. I hope that relevant policies can be introduced and implemented. The domestic stock market, after completing the previous platform breakthrough, has weakened its momentum, and this round of rebound is difficult to achieve overnight, so patiently wait for the second bottom. In terms of sectors, the aerospace military industry is eye-catching in the well-known positive stimulus. Although the leading stocks have maintained their strength, they have diverged from rising varieties. It is expected that shocks will replace unilateral 行情. Operationally, use about 1/4 of the funds to pay attention to the supplementary gains of oversold stocks. On 6/29 Monday, 股指期货 fell in a mild volatility, and continued to lighten up after 2:00 pm and turned strongly into the red. IF1107 positions show that long and short positions have basically reached a balance at the current position. Both long and short positions are cautious, and bilateral positions have increased significantly.

This feature indicates that future shocks行情 are more in line with the main interests. In the external market, the U.S. stock market saw continuous rises, and technology stocks performed strongly. The trend of other commodities is moderate, and investors are waiting for Greece’s austerity policy to be passed. This has strong guidance for the future of the euro and the US dollar. The domestic stock market continued to show small fluctuations this week行情, temporarily halting the upside pace. It can be seen as an upturn relay in the short-term graph, and trading volume will determine the future direction. Individual stocks revolved around oversold and news stimulus, but the sustainability was not very good. It is expected that today will still be a small shock, and any large fluctuations in the intraday may be a trap. Operationally, use about 1/4 of the funds to pay attention to the supplementary gains of oversold stocks. 6/30 Tuesday 股指oscillated steadily in the morning and turned sharply in the afternoon. The position of IF1107 showed that the main short position gave way and then shot to seal pressure after a week. The main long position also opened and confronted, and the differences began to increase. From the perspective of long and short positions, short-term shorts have the upper hand, but it is more difficult to have directional fluctuations, and the short-term volatility is maintained. In the external market, Greece adopted a tightening plan, but the boost to the euro was lower than expected; the base metals showed signs of breaking upward resistance in the future; from the graphical trend, crude oil and黄金 will also have a downward process in the future . In the domestic stock market, individual stocks revolved around oversold and news stimulus, but the sustainability was not very good. However, the conditions for a sharp drop are not currently available. If it can drop by 20 points in early trading today, it can buy lower. Operationally, use about 1/4 of the funds to pay attention to the supplementary gains of oversold stocks. Special statement: 1: The material comes from the Internet, and the copyright belongs to the original author. 2: The content of the material is a network opinion and has nothing to do with the position of this account. 3: If there is any infringement, please inform and delete it immediately.

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