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06/10 - 06/11 DT

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发表于 2012-6-10 10:39 PM | 显示全部楼层 |阅读模式


Bond ZB/ZN just confirmed the breakdown from the bullish channel. It's time to stay away ...

zb-daily.png zn-daily.png

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 楼主| 发表于 2012-6-10 10:46 PM | 显示全部楼层
EUR/USD is turning bullish, back above ema20 and 1.26 ... consolidation here would be nice ...
JPY has finished the backtest of the trend line ... break out of 79.9, the 50% level, would be a signal to short JPY ...

euro-daily.png jpy-daily.png

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 楼主| 发表于 2012-6-10 11:18 PM | 显示全部楼层
Both ES and NQ have touched the previous up trend lines, very bullish ...
It is highly possible that the previous low is the intermediate low if both Mon and Tue are green and 50% level are below the consolidation if any.
es-daily.png nq-daily.png

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 楼主| 发表于 2012-6-10 11:46 PM | 显示全部楼层
GC traders are very confused ... don't know what to do ... I bet it will at least back test the previous high at 1641 again along with the stocks ...
CL is testing the down trend line again ... let's hope for the best ...
gc-daily.png cl-daily.png
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发表于 2012-6-11 01:56 AM | 显示全部楼层
Tonight ES was over-shooting. up to 20 pts. (now 15 pts)
tomorrow wouldn't see that high open. open high 5 ~ 10 pts. not 20's. I would believe.

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发表于 2012-6-11 02:06 AM | 显示全部楼层
本帖最后由 kdkboy 于 2012-6-11 03:13 编辑

oil is down now, let's check whether consolidation or a leading signal of market down

Although I thought should be a temporary correction, market should still up, but so far Japan not performed well, confusing!

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发表于 2012-6-11 05:33 AM | 显示全部楼层
回复 greenback 的帖子

If we stay with 4H charts,  EURO may go up to Nr.1--Nr.5 retracement
because EURO is out of the downtrend line :

Nr.1 61.8% retracement = 1.26687  perfect

Nr.2 50.0% retracement = 1.27866

Nr.3 38.2% retracement = 1.29064

Nr.4 23.6% retracement = 1.30518

Nr.5 00.0% retracement = 1.32857

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发表于 2012-6-11 09:34 AM | 显示全部楼层
本帖最后由 kdkboy 于 2012-6-11 10:37 编辑

DAX Lower low 就看下跌速度多快了
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发表于 2012-6-11 10:19 AM | 显示全部楼层
silicon_beaver 发表于 2012-6-10 23:56
Tonight ES was over-shooting. up to 20 pts. (now 15 pts)
tomorrow wouldn't see that high open. open ...

A firework.
Now turns red.
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发表于 2012-6-11 10:34 AM | 显示全部楼层
ES到支撑了,该起来了。

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 楼主| 发表于 2012-6-11 01:28 PM | 显示全部楼层
本帖最后由 greenback 于 2012-6-11 15:39 编辑

Hi All,

Sorry for the late start of the day ... let's read a piece on why the market has reversed ...

I added the highlight of the statement that I want to share with you. This statement shows that why I pay so much attention to bonds even if I don't always trade them.

Why bondholders are scared about Spain

By Deborah Levine, MarketWatch

NEW YORK (MarketWatch) — One of the big questions making investors more nervous about the bank-bailout deal Spain announced over the weekend boils down to who will pay for it.

This is always the key issue, to some degree. But it merits repeating that in a debt crisis, what matters more is what holders of debt think and do, rather than what investors in other assets think.

On Monday, they sold Spanish and even Italian debt, pushing yields higher. Part of that stems from worries about exactly where the bailout for Spain will come from, since that’ll have implications about bondholder seniority in the case of a default — like perhaps with Greece.

“Spanish bond yields rose to their highest level since the end of May, as investors digested the prospect they may not get all of their money back in the event of a Spanish default,” said Kathleen Brooks, research director at Forex.com.

Spain’s 10-year yields rose 23 basis points to 6.42%. A basis point is one-hundredth of a percentage point.

One of the details unknown at this point is whether the money for Spain will come from the European Financial Stability Facility — the region’s bailout fund known as EFSF that was started first — or the European Stability Mechanism, the permanent bailout fund known as ESM.

There are pros and cons of both, for both Spain and Europe. But all bondholders care about is that there are differences in whether they get paid first in case of a default, or get pushed to the back of the line. Without knowing that, they’re simply selling their holdings.

“Where the aid comes from, ESM or EFSF, will determine which bondholders rank higher and who will absorb the most losses,” according to Kathy Lien, director of currency research at GFT.

Deborah Levine is a MarketWatch reporter, based in New York.
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 楼主| 发表于 2012-6-11 01:38 PM | 显示全部楼层
Holy molly ... bond actions look like bull's flags now!
zb.png zn.png
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 楼主| 发表于 2012-6-11 02:05 PM | 显示全部楼层
So we have a overshot of channel in ES and NQ on Sun and are reversing ...
This completes the second up leg ... the question is where the reverse will stop and whether there is the third up leg ...
News wise, EU might need to clarify on the Spanish bailout conditions and we also have the Greek election coming up to drive these price actions.
es.png nq.png
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 楼主| 发表于 2012-6-11 02:34 PM | 显示全部楼层
九天 发表于 2012-6-11 06:33
回复 greenback 的帖子

If we stay with 4H charts,  EURO may go up to Nr.1--Nr.5 retracement

Let's hope for the best ... Too bad EURO tanked with all the risk assesses ...
In general it would like to try the 1.265 again ...
JPY is indecisive with the triangle, right below the key S/R level. I think JPY wants to reverse back up, i.e. USD/JPY back down again ...
euro.png jpy.png
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 楼主| 发表于 2012-6-11 02:38 PM | 显示全部楼层
GC holds pretty well ... CL is again the weakest of all risk assesses ...
Are stocks to follow back to revisit the low???
gc.png cl.png
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发表于 2012-6-11 06:56 PM | 显示全部楼层
No idea why Japan not plunge following US, Confusing
Japan.jpg
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发表于 2012-6-11 07:21 PM | 显示全部楼层
我kao,Japan在搞神马鬼,昨天就觉得不太对劲,今天开盘居然不跌,奇怪了
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 楼主| 发表于 2012-6-11 07:22 PM | 显示全部楼层
kdkboy 发表于 2012-6-11 20:21
我kao,Japan在搞神马鬼,昨天就觉得不太对劲,今天开盘居然不跌,奇怪了

Isn't it down???

http://www.marketwatch.com/story ... s-losses-2012-06-11
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 楼主| 发表于 2012-6-11 07:23 PM | 显示全部楼层
kdkboy 发表于 2012-6-11 19:56
No idea why Japan not plunge following US, Confusing

Is this Nikki futures?
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发表于 2012-6-11 08:39 PM | 显示全部楼层
回复 greenback 的帖子

It is Nikki Index, On Monday morning, it rush to 8600 when news of Spanish bail out release, then it continue down to 8540, before Germany market open, it down to 8530, I just curious why US future so high while Japan continue down.

When Us open, DAX future drop below 6200, I start to short DAX, Nikki, HK future, It is 8505 at that time while SPX is 1320, now SPX is 1307, it drop a little, 8476, so little, any thing make it not follow US?

At the same time, Australia drop lot since Australia some eco report drop to 9 month low, I compare those index to estimate next day movement.

That is why I complain Japan drop little, HK also drop little, maybe tomorrow still up
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