Market sentiment is difficult to fade, gold rally expanded to 1%-happynewyear

The market risk sentiment to subsidise the gold rally to expand to 1% global foreign exchange February 24th hearing – Wednesday (February 24th), the European session, gold continuation of yesterday’s rebound in energy, mainly because the Asia Pacific major stock market index fell, European stock markets also opened fell across the board, hedge gold is effective again. In addition, crude oil still maintained a decline, indirectly stimulating the demand for gold buying. At the same time, Britain’s retreat from Europe raises the risk aversion, the spot gold rally expanded to 1%, refresh nearly a week high of $1238.10 ounce. If the price of gold breaks through the 123440 resistance level, it may go up again, challenging the 1260 high position. Despite the current volatility of gold, but overall, the gold price still maintained a good technical structure, the Bulls still hold the upper hand. With the performance of the stock market volatile, short-term is difficult to complete the safe haven buying of gold tide. FX Empire, a well-known overseas technology analyst, said on Wednesday that gold had rebounded on Tuesday, and the $1200 ounce continued to provide support. The agency says gold will eventually rise to $1260 in a longer period of time, so it is still a buyer. Gold prices will continue to provide buying opportunities, because the market bullish trend is still strong, should not be selling gold finally able to break through the $1260 an ounce level will continue to rise. The market risk sentiment to subsidise the short-term gold hedge to ebb Wednesday Asia time market sentiment remains cautious, the main stock index fell. The Nikkei 225 closed down 0.85% at 15915.79, South Korea Seoul composite index closed down 0.15%, at 1234.4, the Taiwan stock market closed down 0.6% at 8282.86, Australia S& index; P ASX200 index closed down 2.10% at 4875. In the Asia Pacific stock markets fell, European stock markets opened can not escape. In February 24th the German DAX index opened down 12.77 points, or 0.14%, at 9416.77 points; the FTSE 100 index opened in February 24th fell 9.31 points, or 0.16%, at 5962.31 points; the French CAC40 index opened in February 24th fell 9.92 points, or 0.23%, at 4238.42 points; the Spanish IBEX35 index opened in February 24th fell 17.10 points, or 0.21%, newspaper 8267.60; Italy’s FTSE index in February 24th (Wednesday) opened down 11.46 points, or 0.07%, at 17163.46 points. Spot gold in spite of the Asia Pacific time from 4 hours to figure the triangle on the track blocked down, but because of the risk aversion continues, in the European session gold back up. Gold is currently trading below 1230. Asian crude oil prices continue to bear pressure, in Europe, the U.S. oil fell below 31 U. S. dollar barrel pass, a decline of more than 1% in the day. Yesterday, Saudi Arabia’s oil minister said no cuts were made, and Iran officials said freezing output was a joke, and the price of crude oil dropped sharply. Japan’s attention to the United States last week

市场风险情绪难消退 黄金涨势扩大至1%   环球外汇2月24日讯–周三(2月24日),欧洲时段盘中,金价延续昨日反弹动能,主要因为亚太股市主要股指收跌,欧洲股市也开盘全线下跌,黄金的避险属性再度发挥功效。另外,原油依然保持跌势,间接刺激了黄金买盘需求。同时,英国退欧忧虑推升避险情绪,现货黄金涨势扩大至1%,刷新近一周高位1238.10美元 盎司。   若金价突破1234 40阻力水平则可能再度上行挑战1260前期高位。尽管黄金目前波动加剧,但整体来看,金价依然保持着良好的技术结构,多头仍占据上风。加上股市表现阴晴不定,黄金避险买盘短线很难彻底退潮。   海外知名技术分析机构FX Empire周三在报告中表示,周二金价有所回升,1200美元 盎司继续提供着支撑。该机构表示,金价在更长期的时间内最终会上升至1260美元 盎司,因此依然是买家。金价回落将继续提供买盘机会,因市场看涨趋势强劲,目前依然不应卖盘,金价最终能够突破1260美元 盎司水平,将继续走高。   市场风险情绪难消退 黄金短线避险难以退潮   周三亚洲时段市场情绪仍然谨慎,主要股指收跌。日经225收盘下跌0.85%,报15915.79,韩国首尔综指收盘下跌0.15%,报1234.4,台湾股市收盘下跌0.6%,报8282.86,澳洲股指S&P ASX200指数收盘下跌2.10%,报4875.00。   在亚太股市收跌后,欧洲股市开盘也未能幸免。德国DAX指数2月24日开盘下跌12.77点,跌幅0.14%,报9416.77点;英国富时100指数2月24日开盘下跌9.31点,跌幅0.16%,报5962.31点;法国CAC40指数2月24日开盘下跌9.92点,跌幅0.23%,报4238.42点;西班牙IBEX35指数2月24日开盘下跌17.10点,跌幅0.21%,报8267.60点;意大利富时指数2月24日(周三)开盘下跌11.46点,跌幅0.07%,报17163.46点。   现货黄金尽管在亚太时段从4小时图三角形上轨受阻回落,不过由于风险厌恶情绪持续,在欧洲时段黄金重新上行。金价目前交投在1230下方。   原油价格亚市继续承压,在欧洲时段,美油一度跌破31美元 桶关口,日内跌幅逾1%。昨天沙特阿拉伯原油部长坦言不减产,伊朗官员则表示冻结产量是一个笑话,受此影响,原油价格大幅回落。日内关注美国上周EIA能源库存变化,分析人士预计原油库存可能会增加90万桶。早盘公布的美国上周API原油库存大幅增加710万桶。若EIA原油库存超预期,则原油可能会继续大幅回落。   近两天原油价格与市场情绪保持密切相关,油涨则股市上涨,油跌则股市下跌。日内重要数据不多,可关注一些美联储官员的讲话,可能会影响美元走势。   期金多头 空头头寸比率涨至10月以来最高   今年以来,随着贵金属价格的持续回升,期货市场的黄金和白银多头头寸也都一直处在增长的状态中。   数据显示,2月16日结束当周,期金市场多头头寸和空头头寸之间的比率上涨至2.9,是去年10月以来的最高水平。   不过该比率的20年均值则高达20。   期银市场上,这一比率过去10年的均值为10,而自2013年以来的均值则为5。   本周一,银价近2周以来第一次跌破15美元 盎司水平,受此影响金价 银价达到了7年高点超过80。通常而言,由于银价波动更大,这一比率在高水平意味着金银价格的走低。   环球外汇行情中心显示,北京时间19:04,现货黄金报1235.12美元 盎司。 进入【新浪财经股吧】讨论相关的主题文章: