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黄金白银,如期报复性反弹,然后呢?
Sou Hu Cai Jing· 2026-02-03 02:16
参与属于自己的行情,做看得懂的行情,做预期内的行情,赚认知的钱;否则,凭运气赚的钱,肯定会凭实力连本带利送出去!辛辛苦苦忙半年,两天回到 半年前! 2026年黄金行情展望,牛市最大的利多是美国总统特朗普! 黄金白银暴跌崩盘,恐慌是暂时的;疯牛结束,等待慢牛开启! 国际白银从121美元跌到71美元,只用了不到3个交易日,跌幅50美元,达40%以上,只能用惨烈和灾难来形容! 国内沪银(包括td白银)继上周五跌停后,昨天开盘沪银继续跌停,晚上开盘多次打开跌停板最后依然封在跌停;我在上周多个周视频说了,白银一旦崩盘 你根本逃不掉,很多人嘴硬;多单必须在主力抛盘前抢跑平仓,当然空单入场更是享受闭着眼都能赚大钱的美好时刻。那些高位拼命追涨,对风险预警嗤之 以鼻的人,只能说,他们的认知,配得上他们的亏损。 白银的暴跌,惨烈程度远超市场大部分人的预期;完美验证了,我们在2026年白银年度展望报告里的一句话:2025年白银比谁拿得久,2026年白银比谁跑得 快;天堂地狱,一念之间!白银就是这样一个产品,他横盘的时候,可以几年时间波动不足10美元,他疯起来,可以一天完成10年的行情。静若处子动若脱 兔,白银也! 我为什么能够在上 ...
黄金,恐慌性抛盘;沪银逼近跌停,多空大战开启!
Sou Hu Cai Jing· 2026-02-02 02:08
Core Viewpoint - The recent irrational surge in gold and silver prices has led to a significant market correction, which is seen as a necessary cleansing of speculative funds and a cooling of the overheated market [1][3]. Group 1: Market Analysis - The market is expected to experience volatility with both bullish and bearish movements throughout early February, indicating a back-and-forth trading environment [3]. - The recent sharp decline in gold and silver prices is viewed as a buying opportunity for low-leverage or non-leverage products, with specific price levels provided for reference [3][5]. - Key support and resistance levels for international gold are identified, with short-term support at $4700 and resistance at $4880-90, while for silver, support is at $74-75 and resistance at $88-90 [5]. Group 2: Investor Behavior - Various types of investors are highlighted, including those who trade frequently without understanding market dynamics, those who wait too long to enter the market, and those who trade against the trend, all of whom face significant risks [8][10][13]. - The importance of timely profit-taking is emphasized, as many investors fail to secure gains during bullish trends, leading to losses when the market reverses [13][16]. - The company has consistently advised investors to adopt a bullish stance on gold and silver, but has recently shifted to caution due to heightened risks, recommending profit-taking on long positions [16].
5月A股新开户数增长23%!周四,大盘走势分析
Sou Hu Cai Jing· 2025-06-04 15:08
Market Sentiment - Market sentiment has been fluctuating, with a three-day decline leading to complaints and a subsequent three-day rise causing excitement [1] - Investors are advised to manage their emotions and adhere to a trading system to capitalize on market movements [1] Market Trends - The A-share market saw a new account opening of 1.56 million in May, representing a year-on-year increase of 23%, although this is a significant decline from the peak in February and March, which saw a reduction of about 50% [2] - There is an expectation of a significant rebound in the market, particularly in sectors such as securities, real estate, liquor, and insurance, following a period of sharp declines [3][5] Sector Analysis - The banking and liquor sectors are showing unusual movements, indicating a potential intention to push the index towards 3,400 points [5] - The coal and electricity sectors are also anticipated to rebound, along with opportunities in oil and telecommunications [7] Investment Strategy - Investors are encouraged to avoid being overly clever in their trading strategies and to remain patient, as the market has not yet experienced a rapid upward movement this year [5][7] - The focus should be on industry rotation and maintaining a long-term perspective rather than reacting to short-term market fluctuations [7]
报复性反弹!
格隆汇APP· 2025-04-03 09:02
Core Viewpoint - The article discusses the concept of "revenge rebound" in the context of ETFs, highlighting the recent market recovery and its implications for investors [1] Group 1: Market Trends - The article notes a significant increase in ETF inflows, with a reported rise of 25% year-over-year, indicating strong investor interest [1] - It emphasizes the shift in investor sentiment towards riskier assets, as evidenced by the surge in technology and growth sector ETFs [1] Group 2: Investment Strategies - The article suggests that investors should consider diversifying their portfolios by including ETFs that focus on emerging markets, which have shown resilience [1] - It highlights the importance of monitoring macroeconomic indicators, as they can influence ETF performance and investor decisions [1] Group 3: Future Outlook - The article predicts continued growth in the ETF market, projecting that total assets under management could reach $10 trillion by 2025 [1] - It warns that while the current rebound is promising, investors should remain cautious of potential market volatility in the coming months [1]