Emas Semerta / Dolar A.S.
Singkat
Telah dikemas kini

XAU/USD "The Gold vs U.S Dollar" Metal Market Heist Plan

163
๐ŸŒŸHi! Hola! Ola! Bonjour! Hallo! Marhaba!๐ŸŒŸ
Dear Money Makers & Thieves, ๐Ÿค‘ ๐Ÿ’ฐ๐Ÿฑโ€๐Ÿ‘ค๐Ÿฑโ€๐Ÿ

Based on ๐Ÿ”ฅThief Trading style technical and fundamental analysis๐Ÿ”ฅ, here is our master plan to heist the XAU/USD "The Gold vs U.S Dollar" Metal Market. Please adhere to the strategy I've outlined in the chart, which emphasizes short entry. Our aim is the high-risk Green Zone. Risky level, oversold market, consolidation, trend reversal, trap at the level where traders and bullish thieves are getting stronger. ๐Ÿ†๐Ÿ’ธBook Profits Be wealthy and safe trade.๐Ÿ’ช๐Ÿ†๐ŸŽ‰

Entry ๐Ÿ“ˆ : "The heist is on! Wait for the breakout (2890) then make your move - Bearish profits await!"
however I advise placing Sell Stop Orders below the breakout MA or Place Sell limit orders within a 15 or 30 minute timeframe. Entry from the most recent or closest low or high level should be in retest. I Highly recommended you to put alert in your chart.

Stop Loss ๐Ÿ›‘: Thief SL placed at 2930 (swing Trade Basis) Using the 1H period, the recent / swing high or low level.
SL is based on your risk of the trade, lot size and how many multiple orders you have to take.

Target ๐ŸŽฏ: 2830 (or) Escape Before the Target

๐ŸงฒScalpers, take note ๐Ÿ‘€ : only scalp on the Short side. If you have a lot of money, you can go straight away; if not, you can join swing traders and carry out the robbery plan. Use trailing SL to safeguard your money ๐Ÿ’ฐ.

๐Ÿ“ฐ๐Ÿ—ž๏ธFundamental, Macro, COT, Sentimental, Positioning, Overall Outlook:
โ•ฐโ”ˆโžคXAU/USD "The Gold vs U.S Dollar" Metal Market is currently experiencing a bearish trend,., driven by several key factors.

โ•ฐโ”ˆโžคFundamental Analysis
Rates: Fed at 3-3.5%, ECB/BoJ lowerโ€”neutral to bearish.
Inflation: U.S. PCE 2.6%, global 2.5-3%โ€”bullish.
Demand: Central banks, ETFs strongโ€”bullish.
Geopolitics: Tariffs, Russia-Ukraineโ€”bullish.
USD: DXY 106.00, slight softnessโ€”mildly bullish.

โ•ฐโ”ˆโžคMacroeconomic Factors
U.S.: Weak PMI (50.4), jobless claims upโ€”bullish.
Global: China 4.5%, Eurozone 1.2%โ€”safe-haven lift.
Commodities: Oil $70.44โ€”supports gold premium.
Trump: Tariffs inflate costsโ€”bullish.

โ•ฐโ”ˆโžคCOT Data
Speculators: Net long 55,000โ€”cooling but bullish.
Hedgers: Net short 65,000โ€”stable.
Open Interest: 125,000โ€”sustained interest.
Market Sentiment Analysis
Retail: 59% shortโ€”contrarian upside risk.
Institutional: Bullish to $3000, short-term caution.
Corporate: Miners hedge 2920-2940โ€”neutral.
Social Media : Mixed, bearish near-term (2880-2906).
Broker: 60% longโ€”crowded.

โ•ฐโ”ˆโžคPositioning Analysis
Speculative: Longs to 2949, shorts to 2880.
Retail: Shorts at 2918-2924โ€”squeeze risk.
Institutional: Balanced, inflation bets.
Corporate: Hedging stabilizes.

โ•ฐโ”ˆโžคQuantitative Analysis
SMAs: 50-day 2850, 200-day 2650โ€”bullish.
RSI: 48โ€”neutral.
Bollinger: 2890-2930โ€”consolidation.
Fibonacci: 50% at 2909.47โ€”pivot.
Volatility: 12%, ยฑ35 points daily.

โ•ฐโ”ˆโžคIntermarket Analysis
DXY: 106.00, softโ€”bullish.
EUR/USD: <1.0500โ€”caps gains.
Gold: Aligns with CHF/JPYโ€”safe-haven.
Equities: S&P 5960-6120โ€”neutral.
Bonds: U.S. 3.8% yieldโ€”pressures gold.

โ•ฐโ”ˆโžคNews and Events Analysis
Recent: Tariffs, weak U.S. dataโ€”bullish.
Upcoming: PCE (Feb 28)โ€”key USD driver.
Impact: Bullish short-term, bearish risk if PCE hot.

โ•ฐโ”ˆโžคNext Trend Move
Technical: Support 2906-2891, resistance 2949-2955.
Short-Term: Dip to 2906-2880, rebound to 2949.
Medium-Term: Range 2850-3000.
Triggers: Bullishโ€”soft PCE; Bearishโ€”hot PCE.

โ•ฐโ”ˆโžคOverall Summary Outlook
XAU/USD at 2910.00: Bullish fundamentals (inflation, tariffs) vs. bearish USD strength. Short-term dip to 2880, medium-term to 3000 if catalysts hit.

โ•ฐโ”ˆโžคFuture Prediction
Bullish: 2980-3000 by Q2 2025 (soft USD, tariffs).
Bearish: 2850-2864 (hot PCE, Fed hawkish).
Prediction: Bearish to 2880 short-term, bullish to 2980 mid-2025.

๐Ÿ“ŒKeep in mind that these factors can change rapidly, and it's essential to stay up-to-date with market developments and adjust your analysis accordingly.

โš ๏ธTrading Alert : News Releases and Position Management ๐Ÿ“ฐ ๐Ÿ—ž๏ธ ๐Ÿšซ๐Ÿš
As a reminder, news releases can have a significant impact on market prices and volatility. To minimize potential losses and protect your running positions,
we recommend the following:
Avoid taking new trades during news releases
Use trailing stop-loss orders to protect your running positions and lock in profits

๐Ÿ’–Supporting our robbery plan will enable us to effortlessly make and steal money ๐Ÿ’ฐ๐Ÿ’ต Tell your friends, Colleagues and family to follow, like, and share. Boost the strength of our robbery team. Every day in this market make money with ease by using the Thief Trading Style.๐Ÿ†๐Ÿ’ช๐Ÿคโค๏ธ๐ŸŽ‰๐Ÿš€
I'll see you soon with another heist plan, so stay tuned ๐Ÿค‘๐Ÿฑโ€๐Ÿ‘ค๐Ÿค—๐Ÿคฉ
Dagangan aktif

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.