🟑 Gold Intraday & Weekly Outlook β€” Friday, June 6, 2025

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πŸ” Fundamental SummaryΒ 

  • πŸ“‰ US ADP Jobs Data (June 5): Significantly weaker than expected β†’ market pricing in higher probability of Fed rate cuts.

  • 🏦 Fed Sentiment: Dovish tone continues to dominate, with no signs of immediate hikes.

  • 🌍 Geopolitical Risk: Russia’s intensified threat to Ukraine (“turn it into hell”) is raising safe-haven demand.

  • πŸ’° Central Bank Activity: Continued evidence of gold accumulation, especially by Asian and Middle Eastern central banks.

  • πŸ’΅ US Dollar Index Weakness: Favorable for gold as lower yields reduce opportunity cost.

Β Fundamental Summary:

With rising global tensions, weak US data, and a dovish Fed, macro sentiment continues to support gold as a long-term safe haven.


πŸ“Š Technical & SMC-Based Intraday Setup

πŸ•―οΈ Price Action Review:

  • Β Thursday: Liquidity taken above daily high β†’ rejection.

  • Thursday: Price dropped and took out same day’s low β†’ classic liquidity sweep.

  • Friday Morning (Today): Again swept previous low, forming liquidity grab at $3364 zone (SBR level).

βš”οΈ Key Intraday Levels (approximate):

  • SBR (Sell Before Rally) Zone: $3364 – acting as short-term resistance

  • Downside Liquidity Pool: $3,330 – high-probability magnet

  • Untapped FVG (Fair Value Gap): Below $3330 β€” ideal for long re-accumulation

πŸ“Œ Strategy Zones:

  • βœ… Buy Setup 1: If price breaks above $3,364 and pulls back into it β†’ SBR becomes RBS (Support β†’ Buy on Retest)

  • βœ… Buy Setup 2: If price sweeps $3,330 liquidity + fills FVG, shows rejection β†’ active long entry from that demand zone

πŸ“ˆ Market Structure:

  • 1H: SMC-aligned liquidity sweeps and inducement patterns confirming smart money activity

🧠 Technical Summary:

Gold swept both upside and downside liquidity this week. Friday’s sweep below $3350 shows signs of re-accumulation; bullish confirmation needed either via SBR breakout or deeper sweep toward $3330 FVG.


🎯 Today’s Trading Outlook (June 6, 2025)

Bias Reason
🟒 Buy (Primary) Fed dovish tone, ADP miss, safe haven demand, liquidity sweep, smart money bullish structure
πŸ”΄ Caution on Shorts Price already rejected from SBR once; downside liquidity could magnetize again
πŸ”„ Wait & Watch Zone Between $3,350–$3,364 β€” risky unless breakout or clear rejection occurs

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