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上周五,美国与欧元区相继发布了采购经理指数PMI,其中美国服务业PMI与欧洲制造业PMI远低于前值和预期,两年来首次跌破50的荣枯线。PMI是一种前瞻性指数,代表了采购经理对行业未来的预期。而跌破荣枯线代表了业内人士对经济前景已经不再看好。越来越多的人开始意识到经济衰退的影响,而决定衰退的关键正是本周四即将发布的美国二季度GDP数据。全球的股票市场都将遭到最直接的冲击,但至于是涨是跌,还需要分情况分析。从本周的短线行情来看,受到上周的日本与欧洲利率决议影响,股市全面反弹,价格处在短线高点,涨势受到一定的阻力。以纳指为例,价格在抵达12000整数位以及12500的供给区后,两次大幅回调,说明上方存在技术面压力。考虑到欧洲决议落地,美联储加息预期水平震荡,GDP与财报数据存在利空威胁(财报主要关注三季度业绩指引),在本周四之前,全球股市很可能回吐上周的涨幅,其中以纳斯达克、罗素2000以及费城半导体指数的回调压力最为显著。消息面需要重点关注华尔街日报上美联储政策的新闻(在决议发布之前)。而从长线的角度来看,就需要关注本周美联储与GDP的具体表现。从技术面来理解,就是全球股市仍需要时间或者空间进行整理。如果GDP表现良好,美联储加息100基点,那么美股将在大幅下跌后筑底,长线投资机会也随之浮现。但如果经济表现不佳,美联储放缓加息步伐,虽然短时间内会支撑股市,但高通胀却难以解决,经济问题将持续更久,股市也将继续震荡盘整。从纳指小时图来看,价格在突破12000大关口,目前抵达了12400-13000的整数位关口。上周五纳指跌破了供给区下沿,空头开始释放压力。考虑到消息面不明朗,交易策略以突破跟随为主。短线关注纳指下穿12300的做空机会。现价下方的短线支撑分别在12100的长线水平支撑,以及11800的前低点需求区与趋势线共同支撑结构。长线投资者需要耐心等待本周的回调结束,观察价格是否会跌破11000大关。如果价格向下突破,空头将继续被消耗,长线的底部也将会更早的到来。而如果价格还是在11000上方震荡,则需要等待价格上穿13000颈线位置,底部K线反转形态成立后,再考虑入场投资。 来源:金色财经 |
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