期货技术分析周报:2025年第53周-20251229
Dong Zheng Qi Huo·2025-12-29 02:43
  1. Report Industry Investment Rating No specific industry investment rating is provided in the report. 2. Core View of the Report The report analyzes the futures market in the 53rd week of 2025 through technical indicators, showing that different sectors have different trends, with some showing bullish signals, some bearish, and others in a volatile state. The overall market has obvious structural characteristics, and it is recommended to track key indicators and pay attention to position management [1][2]. 3. Summary by Relevant Catalogs 3.1有色及贵金属板块 - The gold in the precious metals sector shows a bullish signal, while the rest are volatile. In the non - ferrous metals sector, aluminum, alumina, zinc, lead, industrial silicon, and lithium carbonate show bullish signals, and polysilicon shows a bearish signal, with the remaining varieties mainly volatile [8]. - The main contract of Shanghai copper has a strong upward trend. The weekly and monthly trends resonate, and the short - term possibility of a sharp correction is low [12]. 3.2黑色及航运板块 - Hot - rolled coils, iron ore, and coking coal show bullish signals, the rest of the black varieties are volatile, and European line container shipping shows a bearish signal [20]. - The price of the main rebar contract mainly consolidates, with insufficient technical momentum and is expected to continue to consolidate in the short term [24]. 3.3能化板块 - Fuel oil, low - sulfur fuel oil, and LPG in the energy sector show bullish signals, and the rest are volatile. In the chemical sector, polypropylene, pure benzene, caustic soda, etc. show bullish signals, and the rest are volatile [29]. - The PTA main contract has short - term upward repair momentum. If it breaks through the resistance, the medium - term target can be higher [32]. 3.4农产品板块 - Soybean meal, palm oil, rapeseed meal, sugar, corn, etc. show bullish signals, and the rest are volatile. The sugar main contract needs to pay attention to the risk of decline, and the short - term rebound is difficult to reverse the downward trend [38][42]. 3.5股指期货板块 - The Shanghai 50 Index futures, CSI 500 Index futures, CSI 1000 Index futures, and SSE Composite 300 Index futures all show a volatile pattern. The IC CSI 500 Index futures are expected to fluctuate next week with upward momentum, and attention should be paid to whether there are reversal signals [49][52]. 3.6国债期货板块 - The 10 - year and 30 - year treasury bond futures show bullish signals, while the 2 - year and 5 - year treasury bond futures are volatile. The T 10 - year treasury bond futures are mainly volatile, with upward repair power in the short term but also pressure [55][61].