上週五,全球市場繼續下滑——儘管程度不一:S&P 500 指數下跌了 5.97%,石油下跌了 7.41%,大宗商品貨幣平均損失約 2%,5年期美國國債收益率從 3.73% 降至 3.55%。然而,歐元僅下跌了 0.80%,而美元對日元的匯率上升了 0.58%。今天,歐元以68點的向下缺口開盤,並在一個小時十五分鐘內填補了這個缺口。自今早以來,所有工具——包括S&P 500 期貨——都在上升。我們認為,市場基本吸收了週末中國對美國商品新徵 34% 關稅的短期影響。
在日線圖上,歐元已突破1.0955的水平。Marlin指標在穩定在正區域後,準備恢復增長。若突破最近的阻力位1.1027,將打開通往1.1110/50目標區間的道路。從那裡起,可能會朝向2023年7月高點1.1276移動,那時有可能會與股市同步逆轉,引發新一輪的歐元走弱。這將呈現一種典型的危機風格相關性。
在四小時圖上,Marlin 振盪器顯示出從中性零線逆轉的跡象。價格已鞏固在 1.0955 水平之上。我們預計將繼續增長,朝著 1.1027 的第一目標前進,隨後將進一步進入 1.1110/50 目標區間。
上週,多頭刷新了歷史高點,並在3499.58形成了新的最高極點。隨後,黃金進入了一波向下修正,朝著日線短期趨勢的支撐位3346.45進行調整。
上周,市場創下新低,但賣方未能完全繼續向下運動。這可能是因為前一週的低點(141.63)被月度支撐位(141.96)所鞏固。
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