The Asian market opened at 4003 on Tuesday and rebounded slightly to around 4050. The overall trend remains characterized by fluctuations within a narrow $4000–$4050 range. With the Strait of Hormuz facing closure again, Brent crude briefly surged past $90 and risk-aversion sentiment intensified; however, capital flowed into crude oil and the US dollar, while the gold market continued to see only minor fluctuations.
From a technical perspective, bearish momentum on the daily chart has eased but has not yet reversed; the RSI remains weak near 38, and the Bollinger Bands are contracting, signaling a narrowing trading range. The 4-hour MACD is repeatedly hovering around the zero line, while the 1-hour KDJ is showing a golden cross at a low level – indicating a short-term rebound demand, but with limited upside potential.
Resistance remains near 4050; the short-term strategy is to sell at this level and add to short positions near 4060, targeting 4000.
From a technical perspective, bearish momentum on the daily chart has eased but has not yet reversed; the RSI remains weak near 38, and the Bollinger Bands are contracting, signaling a narrowing trading range. The 4-hour MACD is repeatedly hovering around the zero line, while the 1-hour KDJ is showing a golden cross at a low level – indicating a short-term rebound demand, but with limited upside potential.
Resistance remains near 4050; the short-term strategy is to sell at this level and add to short positions near 4060, targeting 4000.
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Haftungsausschluss
Die Informationen und Veröffentlichungen sind nicht als Finanz-, Anlage-, Handels- oder andere Arten von Ratschlägen oder Empfehlungen gedacht, die von TradingView bereitgestellt oder gebilligt werden, und stellen diese nicht dar. Lesen Sie mehr in den Nutzungsbedingungen.
