Published: June 3, 2025
๐ Chart Breakdown (Daily | LuxAlgo + EW + SMC)
Structure Summary:
๐ถ Wave Count: Completing Wave (5), with price nearing exhaustion
๐ด Weak High Zone: ~6,100โ6,200 = liquidity magnet
๐ฅ Premium Zone: Between current price and 6,426
๐ฆ Equilibrium Zone: ~4,950โ5,150
๐ฉ Discount Zone: ~4,150 = long re-entry or cycle bottom if correction occurs
๐ Key Timing Line: June 17, 2025 = potential reversal date (time-based confluence)
Volume Analysis:
๐ Volume spikes at Wave 2 and Wave 4 suggest reactive participation
๐ Lower volume into recent highs suggests distribution, not accumulation
๐ Multi-Timeframe Outlook
Timeframe Direction Probability Rationale
Intraday (15M) Bearish 60% Weak high rejection, premium zone swept, liquidity-based reversal
Swing (2โ3 weeks) Bullish โ Bearish 70% to 6,420 โ then reversal Wave 5 completion into supply zone, followed by corrective ABC
Macro (Q3โQ4 2025) Bearish 80% Likely mean reversion toward equilibrium (5,000) or discount (4,200)
๐ Key Price Zones to Watch
Level Label Strategy
6,426 ๐ฏ Wave 5 Target Look for exhaustion, divergence, or liquidity sweep
6,150โ6,200 ๐ฅ Weak High / Premium Possible fake-out zone or reversal trigger
5,900 ๐ต Short-term support Likely retest zone on first rejection
5,150โ4,950 โ๏ธ Equilibrium Mid-cycle mean reversion target
4,150 ๐ฉ Discount/Strong Low Long reload zone if correction deepens
โ ๏ธ Risk Considerations
Macro Data Watchlist: June 12 CPI + June 17 FOMC = macro catalysts for Wave 5 peak
Invalidation: If price holds above 6,450 after June 17, EW count must be adjusted
Alternative Count: Parabolic Wave 5 extensions can overshoot โ be cautious shorting early
๐ Chart Breakdown (Daily | LuxAlgo + EW + SMC)
Structure Summary:
๐ถ Wave Count: Completing Wave (5), with price nearing exhaustion
๐ด Weak High Zone: ~6,100โ6,200 = liquidity magnet
๐ฅ Premium Zone: Between current price and 6,426
๐ฆ Equilibrium Zone: ~4,950โ5,150
๐ฉ Discount Zone: ~4,150 = long re-entry or cycle bottom if correction occurs
๐ Key Timing Line: June 17, 2025 = potential reversal date (time-based confluence)
Volume Analysis:
๐ Volume spikes at Wave 2 and Wave 4 suggest reactive participation
๐ Lower volume into recent highs suggests distribution, not accumulation
๐ Multi-Timeframe Outlook
Timeframe Direction Probability Rationale
Intraday (15M) Bearish 60% Weak high rejection, premium zone swept, liquidity-based reversal
Swing (2โ3 weeks) Bullish โ Bearish 70% to 6,420 โ then reversal Wave 5 completion into supply zone, followed by corrective ABC
Macro (Q3โQ4 2025) Bearish 80% Likely mean reversion toward equilibrium (5,000) or discount (4,200)
๐ Key Price Zones to Watch
Level Label Strategy
6,426 ๐ฏ Wave 5 Target Look for exhaustion, divergence, or liquidity sweep
6,150โ6,200 ๐ฅ Weak High / Premium Possible fake-out zone or reversal trigger
5,900 ๐ต Short-term support Likely retest zone on first rejection
5,150โ4,950 โ๏ธ Equilibrium Mid-cycle mean reversion target
4,150 ๐ฉ Discount/Strong Low Long reload zone if correction deepens
โ ๏ธ Risk Considerations
Macro Data Watchlist: June 12 CPI + June 17 FOMC = macro catalysts for Wave 5 peak
Invalidation: If price holds above 6,450 after June 17, EW count must be adjusted
Alternative Count: Parabolic Wave 5 extensions can overshoot โ be cautious shorting early
Penafian
Maklumat dan penerbitan adalah tidak dimaksudkan untuk menjadi, dan tidak membentuk, nasihat untuk kewangan, pelaburan, perdagangan dan jenis-jenis lain atau cadangan yang dibekalkan atau disahkan oleh TradingView. Baca dengan lebih lanjut di Terma Penggunaan.
Penafian
Maklumat dan penerbitan adalah tidak dimaksudkan untuk menjadi, dan tidak membentuk, nasihat untuk kewangan, pelaburan, perdagangan dan jenis-jenis lain atau cadangan yang dibekalkan atau disahkan oleh TradingView. Baca dengan lebih lanjut di Terma Penggunaan.