CFD是复杂的工具,并且由于使用杠杆而具有快速亏损的风险。请注意,71%的零售投资者账户在交易差价合约时会亏损。您应该考虑您是否了解差价合约是如何运作的,以及您是否有能力承担赔钱的高风险。

市场报告

我们的分析师将全面把控全球金融市场脉搏。

差价合约交易风险很高,并不适合所有人。
EURUSD, GBPUSD pare gains pre-FOMC

EURUSD is retracing the surprise gains recorded following the ECB meeting last week. The key short-term support is eyed at 1.1067 (major 38.2% retracement on post-Draghi rally). Above this level, the EURUSD could well develop the bullish trend toward the 1.1376 (Feb 11th high), especially if the US dollar shows signs of weakness before the FOMC decision scheduled on Wednesday. A slide below 1.1067 could signal a short-term bearish reversal and encourage a downside correction toward the 1.1000 mark before the 1.0915 (100-dma) and then to 1.0826 (Mar 2nd low). From a medium term point of view, a break below this level could pave the way to 1.0800/10 (February lows) then all the way down to the 1.0725 (minor 74.6% before 1.0524 (Dec low). 

According to CFTC data, Japan net longs reached their highest since March ’08.Analysts expect the BoJ to proceed with more cuts into negative territory, but not just yet. The USDJPY is testing 114.00 offers, First level of resistance is 114.44 (March 10th high) and if this level is broken we might expect a further rise to 115.08 ( major 38.2% retrace on Jan 29 – Feb 11 decline). First support is eyed at 113.50 (minor 23.6% retrace on Feb decline), and in case of a break out we can expect a slide to 112.20/111.90 area. From this point a further break could bring the price down to 110.99 (Feb dip).

Cable bounced lower from a one month high of 1.4437 on Friday. The 1.44 offers hold the GBPUSD back form extending gains toward the 1.45 mark. The budget statement (Wed) and the BoE decision (Thu) are expected to keep the agenda busy this week. UK Chancellor of the Exchequer George Osborne is expected to stick to his fiscal consolidation plans, especially knowing that the Bank of England has little choice but to stay still on the record low interest rate of 0.50%. The GBPUSD performed well last week. Trend and momentum indicators are positive, suggesting that the 1.45 resistance is still under close watch. Pullbacks are expected to find support at the major 38.2% retrace on Feb 29 – Mar 11 rise, 1.4207. If this level is broken, the pair will step in the bearish consolidation zone for a potential setback toward the 1.40 mark. Intermediate supports are eyed at 1.4136 and 1.4066 (Fib 50% and 61.8% retrace respectively).

AUDUSD extended gains to new high 8-month high of 0.7596, after breaking above the 75 cents last week. The trend and momentum indicators are positive, suggesting that gains could extend to 0.7655 (Fib 61.8% retrace on May-Jan decline). The first level of resistance is the new (0.7593 March 14th High), before 0.7796 (June 22nd high). RSI indicator is in overbought (70%) so we might expect a retracement, especially given that the current levels could start making the RBA feel uncomfortable and bring the officials to talk down the AUD in the coming days. A break below the 0.7500 mark could then take us back to before 0.7430 (200hma) before the critical 0.7409 (major 38.2% retrace on Mar 1 – 14 rise), below which the AUDUSD will step in the bearish consolidation zone and we could consider a deeper correction down to 0.7352 (50% major on Mar 1 – 14 rise).

Gold is hovering around the $1250 on the back of softer Fed expectations before the FOMC decision. The yellow metal is still on a bullish trend, keeping the possibility of a re-test of 1285 resistance (March 11th High), and even an extension of gains to $1300 on the table. First support is eyed at 1225 (minor 23.6% on Dec-Mar rise), if broken  could encourage more sellers toward the $1200 mark.

WTI cheapened on news that Iran is preparing to boost output to 4 million barrels a day, now trading in 34.90/38.00 area. Support is eyed at the 50-day moving average ($36.70) if broken could damage the recent optimism and pull the prices down toward $34 (major 38.2% retrace on Feb-Mar recovery). Below this level, the WTI should step in the bearish consolidation zone. A deeper correction could develop down to $32.50 (Fib 50%) before $31.00 (Fib 61.80% retrace) and $30 mark.

20-9-2019

Canopy Growth Corporation(CGC)股票分析
Canopy Growth Corporation(以下简称Canopy Growth或CGC)成立于2013年,是全球市值最大的大麻制造商,其在多伦多和纽约上市,主要业务为种植和销售合法大麻,专供加拿大医用大麻和休闲大麻市场,具有560万平方英尺的产能。经过科罗娜啤酒旗下的Constellation Brands对该公司40亿美元的投资之后,Canopy Growth的市值一跃升至115亿美元。自去年休闲大麻在加拿大合法化以来,美国的休闲大麻也开始走向合法化,这都推动了大麻市场的繁荣。因此市场对大麻公司的兴趣增加… 查看全文

10-9-2019

想要投资大麻股?Hexo可能是个不错选择
Hexo是一家来自加拿大的处于行业领先地位的大麻公司,该公司主要在世界范围内生产和销售大麻。其产品包括大麻薄荷油、舌下喷雾剂、大麻粉、干花和亲密油。该公司在加拿大和美国上市,截止2019年9月6日,该公司股价约为4.6美元一股,尽管如此,其市值仍高达11.9亿美元(约合15.7亿加元)。 目前Hexo占据了魁北克省的30%市场份额,并且有望将其在加拿大全国的市场份额扩大至10%,同时也将全球范围内的市场份额进一步扩大。目前全球大麻市场的规模约为2500亿美元。 图1:全球大麻工业一览图(来源:Hexo) … 查看全文

6-9-2019

盛极一时的大麻股克洛诺斯,一年内或升至15美元
大麻合法化提振股价 Altria向克洛诺斯投资18亿美元 第二季度业绩靓丽 着手将业务扩展至美国 但去年支出猛增四倍,盈利下降 两年内实现盈利无望 克洛诺斯集团是一家来自加拿大的多元化和垂直一体化的大麻公司,主营业务为医用大麻的生产和分销。其股票在加拿大和美国上市,市值约为37亿美元(折合49.4亿加元),为世界领先的大麻公司。 近期有关Altria(曾用名Philip Morris)以18亿美元入股克洛诺斯的消息使得该集团成为市场关注焦点,前者是全球最大的烟草生产和经销商,其计划通过投资克洛… 查看全文

2-9-2019

阅兵临近军工板块连续两日领涨,关注科技股逢低买入机会
2019年9月2日星期一LCG 研究团队伦敦资本集团 中国股市本周开盘小幅走强,截止北京时间10:51,上证综指上涨0.67%,报2905点;深证成指上涨0.90%,报9451点;创业板指数上涨0.82%,报1624点。稍早的数据显示,中国8月财新最重要PMI为50.4,好于预期的49.8。 技术面上看,上证综指仍在对2900点关口进行测试,该指数在过去的几个交易日里陷入了盘整之中。但从日线图上看,该指数已经突破了自4月22日以来的下降趋势线压制,在经过短暂的盘整之后,该指数或有机会对2965点一线进行测试。 … 查看全文

30-8-2019

白酒医药板块继续走强,覆铜板与黄金涨势放缓
LCG:白酒医药板块继续走强,覆铜板与黄金涨势放缓   2019年8月30日星期五LCG 研究团队伦敦资本集团 中国股市周五继续做强,截止午盘休市,上证综指微涨0.23%,报2897.59点;深证成指上涨0.48%,报9443.54点;创业板指数上涨0.32%,报1626.12点。船舶工业板块涨幅最大,但由于整体局面较为弱势,个股涨势普遍不大。  技术面上看,上证综指早间一度突破2900点关口,随后快速回踩,交易量在过去两个交易日里持续萎缩。目前上证综指仍在对2900点整数关口进行测试,其仍守住了10日均线… 查看全文

29-8-2019

覆铜板继续发力,关注黄金股逢低做多机会
2019年8月29日星期四LCG 研究团队伦敦资本集团 中国股市本交易日再次走强,但上证综指仍未能成功站稳在2900点关口上方。临近午盘休市,上证综指微涨0.04%,报2895点;深证成指微涨0.08%,报9422点;创业板小涨0.15%,报1627点。 从技术面上看,上证综指在测试2900点关口之际陷入了盘整之中,目前市场的分歧似乎仍然较大,但由于上证综指总体仍处于下降趋势之中,因此,短线来看仍然是风险大于机会。 涨跌板块方面,世界人工智能大会开幕使得软件板块普遍走强,这在一定程度上使得市场资金分流。但… 查看全文

11-1-2019

全球股市反弹需要新的支撑
在开盘下跌后,华尔街股市继续攀升,连续第五个交易日收高。继去年12月的低迷之后,股市经历了4个月来持续时间最长的上涨。更为温和的美联储和贸易谈判乐观情绪提振了风险偏好。然而,有迹象显示,华尔街持续5天的涨势开始疲累。亚洲股市走高,触及一个月高点。随着投资者质疑中国和美国达成协议并解决当前知识产权问题的能力,华尔街也出现了疲劳感。市场人气大幅改善,贸易传言乐观情绪扶助提振本周的风险偏好。然而,交易员们敏锐地意识到,中美之间缺乏任何实质性的东西。现实情况是,尽管双方都在为达成协议而努力,但仍有大量工作要做。目前的任何协… 查看全文

13-12-2018

特蕾莎•梅获胜;英镑从高点下跌
特蕾莎•梅在反对欧盟的保守党部长发动的政变中以200票对117票胜出。英镑在前一个交易日因预期她会赢而上涨。然而,这些数字显示出她的政党是多么分裂。英镑在上一个交易日达到1.2672美元的峰值后,在隔夜和今早的早盘交易中小幅走低。特蕾莎•梅获胜后,英镑交易员正紧张地关注明年1月的英国退欧公投。特雷莎•梅需要赢得117名保守党部长的支持,才能有望让她的退欧协议在议会获得通过。这是一个很大的问题,英镑完全意识到了这一点。特蕾莎•梅没有浪费时间,她正在返回布鲁塞尔的路上,试图就爱尔兰支持协议获得更多保证。英镑对英国退欧的… 查看全文