February 2nd gold investment morning news impact 200 daily average breakthrough or look at 1155-steam_api.dll

February 2nd morning news: 200 gold investment impact on average breakthrough or 1155 FX168 hearing, the international price of gold on Tuesday (February 2nd) Asian city early refresh $1130 3 month high. Monday (February 1st) global economic data generally weak, triggered risk aversion, the U.S. ISM manufacturing data released at the same time that evening for four consecutive months, the Fed rate hike in March is expected to further weaken the dollar fell down. Investors also need to pay attention to the performance of economic data in Europe and America on Tuesday to observe the trend of the dollar index. Technically, the daily level, the price impact of the 200 day moving average of $1130, the index of MACD red column kinetic energy slightly expanded, double MACD, KDJ double high volatility, the overall risk is still neutral. On the 4H level, the indicators are still good, and the short-term upward trend is expected to continue. At present, the initial resistance of gold is at $1130, further resistance at 1135, 1157, 116870, 1190 and $1200. On the downside, the initial support was at 111718 and $110805, further supporting 1100, 1090, 1080, 1070, 1060, 10501046, 1030 and $1000. (Golden Ritu source: FX168 financial network) operating strategy, Monday had suggested investors use the price of gold fell to $1114-1110 retracement Qingcang caution, the opportunity to bargain, a target of $1119-1123, the radical at above $1130, $1107 below the stop loss. From the performance of the day, the strategy is relatively effective. [February 1st] Tuesday morning gold investment advice early bulls continue to hold, day traders can use the beginning of the Asian market price of gold fell to $1124-1119, Qingcang caution the opportunity to bargain, a target of $1129-1132, the radical at above $1136, $1118 under the stop loss. In terms of gold T+D, Tuesday also recommended to buy more. Fundamentals of favorable factors: 1. the American Institute for supply management (ISM) data show that in January the United States manufacturing industry shrinking for fourth consecutive months, but the slow speed lower than in December, while the employment sub index fell to six and a half years low. ISM indicated that the Manufacturing Purchasing Managers Index (PMI) in January was 48.2, slightly higher than the estimated 48.1, and in December it was 48. 2. Chinese January official manufacturing PMI fell to nearly three and a half years low, non manufacturing PMI highs since last month, Chinese economic opening in the poor. While the government pushes the supply side reform to speed up production capacity, the manufacturing downturn has become the norm. 3. U.S. Department of Commerce (DOC) data show that the United States in December construction spending increased by 1% to 1 trillion and 117 billion U.S. dollars, an estimated rise of 0.6%. In November, the construction expenditure was revised down by 0.6%, and the previous value was 0.4%. 4. U.S. Department of Commerce (DOC) data show that the United States in the four quarter of the actual theory

2月2日黄金投资晨报:冲击200日均 突破或上看1155   FX168讯 国际金价周二(2月2日)亚市盘初刷新1130美元的3个月高位。周一(2月1日)全球经济数据普遍疲软,引发避险情绪升温,同时当天晚间公布的美国ISM制造业数据连续四个月萎缩,令美联储3月加息预期进一步降温,打压美元下挫。周二投资者还需关注欧美经济数据的表现,以观察美元指数的走向。   技术面上看,日线级别上,金价冲击200日均线1130美元,指标上MACD红色动能柱微幅扩张,双线金叉向上,KDJ双线高位震荡,整体风险尚偏中性。4H级别上,指标依然向好,预计短期上行趋势将延续。   目前金价初步阻力位于1130美元,进一步阻力在1135、1157、1168 70、1190以及1200美元。下行方面,初步支撑在1117 18以及1108 05美元,进一步支撑在1100、1090、1080、1070、1060、1050 1046、1030以及1000美元。   (黄金日图 来源:FX168财经网)   操作策略方面,周一曾建议投资者利用金价跌向1114-1110美元回撤的机会谨慎、轻仓逢低做多,目标看1119-1123美元,激进者看1130美元上方,止损设1107美元下方。从当天表现来看,策略相对有效。【2月1日黄金投资晨报】   周二建议前期多头继续持有,日内交易者亚市盘初可利用金价跌向1124-1119美元的机会谨慎、轻仓逢低做多,目标看1129-1132美元,激进者看1136美元上方,止损设1118美元下方。   黄金T+D方面,周二同样建议以逢低做多为主。   基本面利好因素:   1.美国供应管理协会(ISM)数据显示,美国1月制造业连续第四个月萎缩,但放缓速度低于12月,而就业分项指数降至六年半低位。ISM表示,1月制造业采购经理人指数(PMI)为48.2,略高于预估的48.1,12月为48.0。   2.中国1月官方制造业PMI降至近三年半低点,非制造业PMI亦自上月高点回落,中国经济开年不佳。而在政府力推供给侧改革加速去产能之际,制造业景气低迷恐成为常态。   3.美国商务部(DOC)数据显示,美国12月建筑支出增加1.0%,至1.117万亿美元,预估为上升0.6%。11月建筑支出修订后为下降0.6%,前值为下降0.4%。   4.美国商务部(DOC)公布的数据显示,美国四季度实际GDP年化季率初值增长0.7%,预期增长0.8%,前值增长2.0%,GDP趋缓主要缘于家庭抑制消费,同时企业削减资本投资并对库存做出进一步调整。   5.美联储副主席费希尔(Stanley Fischer)周一表示,预计美联储只会“逐步提高”利率,目前很难判断金融市场的波动会对3月FOMC政策会议产生何种影响,但担心这种波动可能会影响美国经济增长。   6.美国旧金山联储主席威廉姆斯(John Williams)上周五(1月29日)在接受采访时暗示,考虑到全球经济增长疲弱、美元走强以及油价意外持续挫跌等不利因素,美联储很可能需要在更长时间内维持较低的利率水平。   7.美联储(FED)达拉斯联储主席柯普朗(Robert Kaplan)上周五(1月29日)在一次专访中称,美联储会耐心判断海外经济困难对美国经济会产生的冲击,暗示美联储今年升息速度会放慢。   8.全球最大黄金上市交易基金(ETF)–SPDR Gold Trust周一黄金持仓量较周五的669.23吨增加1.82%,至681.43吨。   基本面利空因素:   1.日本央行(BOJ)周五(1月29日)将指标利率调降至-0.1%的决定令全球震惊。日本央行行长黑田东彦在记者会上表示,日本央行实施负利率,目的是要赶快达到2%的物价目标。短期提振美元 日元,利空黄金。   校对:Mac 进入【新浪财经股吧】讨论相关的主题文章: