๐ฅ GOLD WEEKLY SNAPSHOT โ BY PROJECTSYNDICATE
๐ High/Close: $4,108 โ ~$4,002 โ sellers defended overhead; weekly close soft within range.
๐ Trend: Neutral / correction mode still ON; not expecting new highs near term.
๐ก Supports: $3,890 โ $3,800 โ pivotal shelves for downside containment.
๐ง Resistances: $4,052 / $4,175 โ magnet zones for supply / fade attempts.
๐งญ Bias next week: Prefer short sells into $4,052โ$4,175 with take-profit toward $3,890 โ $3,800. Invalidation on sustained reclaim > $4,175; failure of $3,800 risks extension lower.
๐ Macro tailwinds/headwinds :
โข Rates: Real yields stable-to-firm keep upside contained; any dovish surprise could spark squeezes into resistance.
โข FX: DXY mixedโlack of broad USD weakness limits impulse follow-through.
โข Flows: CB/ETF demand supportive on deep dips but tepid near highs.
โข Geopolitics: Event risk provides intermittent bids; not a trend driver this week.
๐ฏ Street view: Medium-term bullish narratives reserve diversification, policy easing into 2026 remain, but near-term tape favors mean-reversion lower under resistance.
________________________________________
๐ Key Resistance Zones
โข $4,052 โ immediate ceiling; prior supply pivot likely to cap first tests
โข $4,175 โ upper resistance; acceptance above flips tone from corrective to constructive
๐ก Support Zones
โข $3,890 โ first defense; loss invites momentum probes
โข $3,800 โ critical structural base; break risks downside acceleration
________________________________________
โ๏ธ Base Case Scenario
Range-to-soft trade within $3,800โ$4,175. Rallies into $4,052โ$4,175 are sellable; expect rotations back toward $3,890 with scope to $3,800 if sellers press.
๐ Breakout Trigger
Only a sustained acceptance > ~$4,175 negates the correction and opens $4,200+ pathing; conversely, firm rejection at $4,052 with a daily close < $3,890 increases odds of a $3,800 test.
๐ก Market Drivers
โข Fed path & real-yield drift
โข USD index swings
โข ETF/CB flow tone on dips vs. rips
โข Risk sentiment headlines (geopolitics/trade)
๐ Bull / Bear Trigger Lines
โข Bullish above: $4,175 correction phase likely over if held
โข Bearish below: $3,890 โ risk expands under $3,800
๐งญ Strategy
Short-sell from overhead resistances ($4,052 โ $4,175).
Scale profits into $3,890 then $3,800; keep stops tight above trigger levels. Stand aside on fresh longs until sustained reclaim above $4,175 reasserts momentum.
๐ High/Close: $4,108 โ ~$4,002 โ sellers defended overhead; weekly close soft within range.
๐ Trend: Neutral / correction mode still ON; not expecting new highs near term.
๐ก Supports: $3,890 โ $3,800 โ pivotal shelves for downside containment.
๐ง Resistances: $4,052 / $4,175 โ magnet zones for supply / fade attempts.
๐งญ Bias next week: Prefer short sells into $4,052โ$4,175 with take-profit toward $3,890 โ $3,800. Invalidation on sustained reclaim > $4,175; failure of $3,800 risks extension lower.
๐ Macro tailwinds/headwinds :
โข Rates: Real yields stable-to-firm keep upside contained; any dovish surprise could spark squeezes into resistance.
โข FX: DXY mixedโlack of broad USD weakness limits impulse follow-through.
โข Flows: CB/ETF demand supportive on deep dips but tepid near highs.
โข Geopolitics: Event risk provides intermittent bids; not a trend driver this week.
๐ฏ Street view: Medium-term bullish narratives reserve diversification, policy easing into 2026 remain, but near-term tape favors mean-reversion lower under resistance.
________________________________________
๐ Key Resistance Zones
โข $4,052 โ immediate ceiling; prior supply pivot likely to cap first tests
โข $4,175 โ upper resistance; acceptance above flips tone from corrective to constructive
๐ก Support Zones
โข $3,890 โ first defense; loss invites momentum probes
โข $3,800 โ critical structural base; break risks downside acceleration
________________________________________
โ๏ธ Base Case Scenario
Range-to-soft trade within $3,800โ$4,175. Rallies into $4,052โ$4,175 are sellable; expect rotations back toward $3,890 with scope to $3,800 if sellers press.
๐ Breakout Trigger
Only a sustained acceptance > ~$4,175 negates the correction and opens $4,200+ pathing; conversely, firm rejection at $4,052 with a daily close < $3,890 increases odds of a $3,800 test.
๐ก Market Drivers
โข Fed path & real-yield drift
โข USD index swings
โข ETF/CB flow tone on dips vs. rips
โข Risk sentiment headlines (geopolitics/trade)
๐ Bull / Bear Trigger Lines
โข Bullish above: $4,175 correction phase likely over if held
โข Bearish below: $3,890 โ risk expands under $3,800
๐งญ Strategy
Short-sell from overhead resistances ($4,052 โ $4,175).
Scale profits into $3,890 then $3,800; keep stops tight above trigger levels. Stand aside on fresh longs until sustained reclaim above $4,175 reasserts momentum.
Catatan
๐ฅ GOLD WEEKLY SNAPSHOT โ PROJECTSYNDICATE๐ High/Close: $4,108 โ $4,002 โ soft finish; sellers capped upside.
๐ Trend: Neutral / correction mode still ON โ no new highs expected.
๐ก Supports: $3,890 โ $3,800 โ key downside floors.
๐ง Resistances: $4,052 / $4,175 โ strong overhead supply zones.
๐งญ Bias: Short-sell into $4,052โ$4,175 โ targets $3,890โ$3,800.
๐ฃ Invalidation: Reclaim > $4,175 flips tone bullish; below $3,800 = deeper risk.
๐ Macro: Stable yields & firm USD cap upside; dips supported by CB/ETF flows.
โ๏ธ Range View: Trade remains $3,800โ$4,175 โ rallies likely to fade.
๐ Trigger: Sustained > $4,175 = breakout; < $3,890 = renewed weakness.
๐ฏ Strategy: Sell resistance, take profit near supports; avoid longs for now.
Catatan
let me know your thoughts on the above in the comments section ๐ฅ๐ง๐Catatan
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Catatan
๐ช GOLD WEEKLY SNAPSHOT โ BY PROJECTSYNDICATE๐ High/Close: $4,030 โ $4,000 โ range compression after prior volatility; tighter, indecisive week.
๐ Trend: Uptrend softens but still above key pivot; buyers holding the line near $4,000.
๐ก Supports: $3,980 / $3,940 โ $4,000 remains short-term must-hold.
๐ง Resistances: $4,040 / $4,080 / $4,120 โ stretch $4,160.
๐งญ Bias next week: Neutral-to-slightly bearish; muted tone favors range-trade between $3,940โ$4,080. Re-acceleration only above $4,100. Break below $3,940 opens $3,900.
๐ Macro backdrop: Fed cut odds steady; USD/yields drift; central-bank demand resilient. No strong catalyst seen โ expect quieter consolidation week.
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taplink.cc/black001
๐ฑSyndicate Black MT4/MT5
โก๏ธGold/FX Auto-Trading bot
๐ฑ100%/week max DD <5%
๐verified 1800%+ gains
๐งGOLD EA target 100%+ gains/week
๐supercharge your trading
๐75% win rate gold signals
t.me/syndicategold001
๐ฑSyndicate Black MT4/MT5
โก๏ธGold/FX Auto-Trading bot
๐ฑ100%/week max DD <5%
๐verified 1800%+ gains
๐งGOLD EA target 100%+ gains/week
๐supercharge your trading
๐75% win rate gold signals
t.me/syndicategold001
Publikasi terkait
Pernyataan Penyangkalan
Informasi dan publikasi ini tidak dimaksudkan, dan bukan merupakan, saran atau rekomendasi keuangan, investasi, trading, atau jenis lainnya yang diberikan atau didukung oleh TradingView. Baca selengkapnya di Ketentuan Penggunaan.








