Commodities
Trade precious metals, energy, and agricultural commodities with zero fees
資產概覽
總資產數
36
總市值/交易量
$0
活躍板塊
0
cu.commodities_table_title
36 commodities available on CoinUnited.io
| # | 名稱 | 代號 | 價格 | 24h | 級別 | 操作 |
|---|---|---|---|---|---|---|
| 1 | GAS | $0.0000 | 0.00% | B | Trade | |
| 2 | XAUUSD | $4,058.10 | +1.28% | A | Trade | |
| 3 | XAGUSD | $58.76 | +1.87% | A | Trade | |
| 4 | WTI | $78.55 | +0.99% | A | Trade | |
| 5 | COPPER | $6.37 | +1.56% | B | Trade | |
| 6 | PALLADIUM | $1,306.85 | +4.26% | B | Trade | |
| 7 | PLATINUM | $1,632.75 | +1.65% | B | Trade | |
| 8 | BRENT | $83.36 | +0.93% | B | Trade | |
| 9 | NGAS | $2.86 | -0.14% | B | Trade | |
| 10 | ALUMINIUM | $3,171.20 | +0.52% | B | Trade | |
| 11 | LEAD | $1,867.80 | -0.22% | B | Trade | |
| 12 | XAGAUD | $84.25 | +1.03% | B | Trade | |
| 13 | XAGEUR | $51.44 | +1.49% | B | Trade | |
| 14 | XAUAUD | $5,818.84 | +0.59% | B | Trade | |
| 15 | XAUEUR | $3,552.96 | +1.05% | B | Trade | |
| 16 | XAUGBP | $3,032.78 | +1.15% | B | Trade | |
| 17 | XAUJPY | $658,245.50 | +1.26% | B | Trade | |
| 18 | ZINC | $3,583.55 | +0.44% | B | Trade | |
| 19 | COCOA | $5,991.10 | +2.09% | B | Trade | |
| 20 | XAUTHB | $135,818.81 | +1.37% | B | Trade | |
| 21 | XAGJPY | $9,531.75 | +1.79% | B | Trade | |
| 22 | XAGSGD | $75.86 | +1.66% | B | Trade | |
| 23 | CORN | $4.30 | -0.76% | B | Trade | |
| 24 | SOYBEAN | $11.85 | -0.34% | B | Trade | |
| 25 | GASOIL | $1,200.05 | +5.29% | B | Trade | |
| 26 | SUGAR | $0.1457 | +1.11% | B | Trade | |
| 27 | NICKEL | $16,787.00 | +0.16% | B | Trade | |
| 28 | OJ | $1.66 | -0.71% | B | View | |
| 29 | WHEAT | $6.32 | +1.41% | B | Trade | |
| 30 | XAUCHF | $3,285.02 | +0.80% | B | Trade | |
| 31 | XAUCNH | $27,488.53 | +1.27% | B | Trade | |
| 32 | XAUSGD | $5,239.38 | +1.18% | B | Trade | |
| 33 | IRON | $768.00 | +0.85% | B | View | |
| 34 | COTTON | $0.7679 | -0.66% | B | Trade | |
| 35 | COFFEE | $3.36 | -1.41% | B | Trade | |
| 36 | CATTLE | $2.29 | -1.35% | B | Trade |
最新動態
查看更多新聞Gold Surges to $4,060 as US Inflation Cools — Leveraged XAU/USD Traders Eye $4,100 Resistance
Gold surged +1.33% to $4,060.22 after a sharp U.S. inflation drop, tagging the $4,100 resistance zone intraday — short positions with high leverage near this level face acute liquidation risk while the macro backdrop favors continued bullish momentum.
Oil at $120–$127? How a Hormuz Breakout Reprices Every Leveraged Position
Kalshi traders price >63% odds of WTI above $120 driven by Hormuz disruption; leveraged crude longs face asymmetric upside but extreme headline risk, while short positions above 20x face liquidation before the EIA's $87 base case is even reached.
Iran Moves 12 Million Barrels Past U.S. Blockade: Why Brent's $85 Rally May Be Overstating the Supply Shock
Iran's ~12 million barrel flow through Hormuz to China confirms the net supply disruption is ~2 mbpd, not the feared 10+ mbpd — a structurally bearish signal for extreme crude-bullish positioning, but policy-reversal risk keeps high-leverage shorts exposed to violent gap risk near $85.20 Brent.
Gold at $4,019 Ahead of Make-or-Break US CPI — Leveraged XAU/USD Traders Face Binary Risk as Iran Crisis Clouds the Inflation Outlook
Gold at $4,019 faces binary CPI risk: a hot core print could extend the selloff toward $3,983 support and beyond, while a soft surprise opens recovery toward $4,400+. Leveraged traders on 50x face 75%+ margin drawdown on a 1.5% adverse move — size accordingly and watch DXY/US2Y for the first signal.
精選專題文章
查看更多文章Inflation-Hedge Asset Rotation: A Complete Trader's Guide 2026
Global inflation remains above central bank targets in 2026 amid Middle East energy shocks, stagflation risk, and a 'higher-for-longer' rate environment, but momentum is cooling with U.S. inflation guided toward 2.4%. Effective inflation hedging in 2026 requires rotating across multiple asset classes, commodities, inflation-linked bonds, real assets, and select cyclical equities, rather than relying on a single hedge. Equity market leadership has broadened from mega-cap tech to materials, financials, industrials, and non-U.S. markets, creating rotation opportunities tied directly to inflation sensitivity. The U.S. dollar is expected to begin a new downward path, accelerating flows into EM assets, European equities, and real assets, reshaping the inflation-hedge opportunity set. CoinUnited.io traders can exploit rotation signals 24/7 across all five asset classes (crypto, stocks, forex, indices, commodities) with leverage up to 2000x, capturing moves that traditional investors miss during closed exchange hours.
戰爭、石油與通脹:能源衝擊如何影響每個市場於2026年
霍爾木茲海峽的封閉使得WTI漲至約$92,布倫特漲至約$95,Capital Economics提出的可信情境預測,如果庫存達到運營壓力,短期內價格可能飆升至$130–$140/桶。
庫欣庫存下降作為物流現象:為何WTI牛市可能誤讀最受關注的庫存信號
庫欣的庫存下降不再可靠地信號真的供應收緊,2019年以後的管道和出口基礎設施意味著原油往往流向墨西哥灣或被運往出口油輪,讓庫存下降成為物流現象而非基本面短缺的指標。 WTI對於每週EIA數據的反應依賴於市場狀況:在受擾亂的市場(如2026年中期霍爾木茲震盪)中,庫存下降會觸發過大的上漲和升水的加劇;而在結構性過剩的市場中,則逐漸淡化這些數據。 全球庫存在2026年3月至4月的下降達-250 mb,按每日 ~8.5 mb/d的創紀錄速度,在第二季度,是由於霍爾木茲的減產14.4 mb/d,讓庫存釋放成為商品市場中最高貝塔的宏觀催化劑。 即使在2026年4月,油水庫存上升+53 mb,當時陸上的OECD庫存卻崩潰,這顯示'庫存'越來越多地被困在運輸中,而非立即可用,這一細微差別是原始的標題數字所無法捕捉的。
油價、地緣政治與加密風險轉向:2026年交易者完全指南
布倫特原油在2026年中接近每桶$97,因'Hormuz風險溢價'使油成為地緣政治二元交易,而不是純粹的需求故事。比特幣(2026年6月的風險轉向會議上約$62,900)作為高貝塔宏觀資產,隨著股市在NFP和地緣政治衝擊下拋售,而非可靠的避險資產。 油→加密的傳導機制通過通脹預期、實際收益、美元強勢和股市風險偏好運行,而非直接相關。三種可行的2026年情景:升級(布倫特> $100,加密去槓桿)、降級(風險溢價減退,風險偏好反彈)和增長衝擊(雙雙下跌,黃金/USD需求)。 CoinUnited交易者可以在單一24/7平台上使用高達2000倍槓桿交易五個相關市場——原油、BTC、股市、外匯、黃金,捕捉地緣政治缺口的開啟。