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http://stockcharts.com/def/servl ... 400916&cmd=show[s232049822]&disp=O

美元欧元较劲3个月,BB越收越窄,眼下胜负依然不明,而下一波股市的动向跟美元密切负相关。
仔细看美元/黄金对比图。似乎黄金的启动比美元要早,更灵敏。当前黄金的涨是否意味着美元要跟着跌呢?

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本帖最后由 ychen222 于 2011-7-21 06:43 编辑

http://www.gold-eagle.com/editorials_08/saville071911.html

“Anticipating QE3

There's a good chance that short-term trading positions recently established in anticipation of QE3 will backfire. The reason is that before the Fed starts a new round of aggressive money-pumping, it will need the cover provided by much lower prices for equities and commodities and a much weaker economy. The cover provided by a 'deflation scare', that is. This means that some of the things that traders are buying in anticipation of QE3 will have to drop substantially in price to make QE3 politically feasible.

If QE3 were to be introduced without the aforementioned cover then the Fed would quickly find itself in 'hot water'. The initial market reaction to the program would probably involve a sharp decline in the T-Bond and a strong rise in the S&P500 Index, but rising inflation expectations and interest rates would soon put an end to the stock market rally. Furthermore, in response to rising inflation expectations gold would start to make a beeline for $2000. In other words, introducing QE3 without the appropriate cover would result in all the negatives of QE2 with none of the perceived positives.”

换句话说,在QE3之前,债券要涨够,股票要跌够,'deflation scare'意味美元也得涨。
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http://bbs.wenxuecity.com/finance/2530423.html

“很多年的经验观察发现,大盘的转折点,都是在CSCO出季报的前后2天

加上月底,月初通常是基金,养老金进去的时候。CSCO的季报通常在6号到10号之间。

也就是这波,我认为高潮就在28号,1号,2号这3天之内。

CSCO 也早就没落了,对大盘也没什么影响,但大盘出现下跌趋势的开始,却通常在这斯季报前后。”

http://bbs.wenxuecity.com/finance/2530365.html

“2周天,俺就说INTC季报后,才是真正开始拉伸的时候。大千有没有兄弟统计一下

很多年来观察的经验,也在这上面吃过很多亏,通常INTC季报对其自身的股票价格没有多大影响,却对大盘的方向起了决定性作用。

不知道大千有没有兄弟INTC季报后,通常的上涨幅度是多大?我的印象是SPY 8%左右。

如果今天你一定要去空的话,就只能说: good luck了。”

比灵通这次至少对了一半。
回复 18# ychen222

INTC是半导体行业的晴雨表。
CSCO是为企业生产力升级而投资的指标。
这是老姜的看法。
7/20号周三我贴了美元黄金对比图,更仔细看,最近它们的走法都一样:
(1)它俩都走了二个半月的wedge收敛。
(2)7/1发生黄金跌破wedge,马上弹回,7/11涨破wedge,走成大涨趋势。
(3)7/11和7/12美元涨破wedge,跌回,于7/21开始跌破wedge,是否成大趋势还待查。
(4)黄金比美元早动作10天。
(5)若美元跟随黄金走势的话,美元将走成大跌趋势。

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国会的折腾终于把美元搞下去了。
我猜最后O8会接受2步走的方式,而GOP接受象征性地富人加税,之后股市放焰火,可惜油要贵了。

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尽管国会继续争议债限,但有一点可以确定,政府以后必须削减开支。
前期是O8使劲借钱,FED用CASH买单,所以出现巨量的流动性。一旦停下来或减速,美元按理说不应该大跌了,因为实际经济没那么好,就业房子都在低谷。
缺少政府的大消费,可能还涨税,美元也不跌,股市怎么好得起来呢?
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cool
learned
~心宽灵深爱永远~
http://www.smartmoneytracker.blogspot.com/

Gary发现黄金的顶部迹象啦?对应地可能意味美元内在其实强势。
当然现在两者还未出现转势,只是有迹象有可能。

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http://www.gold-eagle.com/editorials_08/smyth072911.html

“The Volatility Index has hit new highs since the March pullback and the momentum in volatility is currently still accelerating to the upside. Usually the pullback doesn't exhaust itself until the momentum in volatility burns itself out which is nicely shown by watching the TRIX momentum indicator.

Watching the volatility index will probably provide clues as to when this pullback will end. Looking past the pullback, it's critical that the financials, brokers, and semis don't continue and make new lows for the health of the overall market. The eventual breakout from this trading range of 2011, whether to the upside or downside, will depend on the movements of individual sectors and especially the more influential ones.”

以前没注意过TRIX。
上周五所有指数都跌破了7/18的底,当然还没破6月的底,除了金融/半导体/建房。

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最怕这周PMI和NFP双击~
http://stockcharts.com/def/servl ... 400916&cmd=show[s178269234]&disp=O
http://stockcharts.com/def/servl ... D95481&cmd=show[s4549237]&disp=O

法国股市一马当先接近52周低点,欧元跌破主要支撑,看起来欧州比美国情况更糟。

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看不懂
CAC40正在创52周新低,法国真是垃圾里的战斗机。
昨天美元还弱,今天就硬起来了。
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200天线是要回测的,但大概得等去完10年11月低位之后,到回测时候200天线方向也许向下了。
7/19的贴(“从交易量看,NASDAQ的2350-2600是稀薄区,对应SP500的1130-1250。”)其实就是昨天大跌的TA原因,其中最稀薄的区域是2500-2600。
从另一个角度看,期待NASDAQ大盘从2500开始继续狂跌就又犯错误了。

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