
6B British Pound Futures Weekly Chart Analysis: 2025-Oct-13 07:01 CT
Price Action
- Last: 1.3337,
- Bars: Medium,
- Mom: Momentum average.
WSFG Weekly
- Short-Term
- WSFG Current: -7%
- F0%/NTZ' Bias: Price Below,
- WSFG Trend: Down.
MSFG Month Oct
- Intermediate-Term
- MSFG Current: -24%
- F0%/NTZ' Bias: Price Below,
- MSFG Trend: Down.
YSFG Year 2025
- Long-Term
- YSFG Current: 42%
- F0%/NTZ' Bias: Price Above,
- YSFG Trend: Up.
Swing Pivots
- (Short-Term) 1. Pvt. Trend: DTrend,
- (Intermediate-Term) 2. HiLo Trend: DTrend,
- 3. Pvt. Evolve: Pvt low 1.3242,
- 4. Pvt. Next: Pvt high 1.3495,
- 5. Levels R: 1.4328, 1.3729, 1.3495,
- 6. Levels S: 1.3156, 1.3184, 1.2069, 1.1875, 1.2103.
Weekly Benchmarks
- (Intermediate-Term) 5 Week: 1.3440 Down Trend,
- (Intermediate-Term) 10 Week: 1.3354 Down Trend,
- (Long-Term) 20 Week: 1.3184 Up Trend,
- (Long-Term) 55 Week: 1.2935 Up Trend,
- (Long-Term) 100 Week: 1.2718 Up Trend,
- (Long-Term) 200 Week: 1.2355 Up Trend.
Recent Trade Signals
- 09 Oct 2025: Short 6B 12-25 @ 1.3376 Signals.USAR-MSFG
- 07 Oct 2025: Short 6B 12-25 @ 1.3442 Signals.USAR-WSFG
Overall Rating
- Short-Term: Bearish,
- Intermediate-Term: Bearish,
- Long-Term: Bullish.
Key Insights Summary
The British Pound Futures (6B) weekly chart shows a clear divergence between short/intermediate-term and long-term trends. Price action is currently below both the weekly and monthly session fib grid NTZ centers, with both WSFG and MSFG trends pointing down and recent short signals confirming bearish momentum in the short and intermediate timeframes. Swing pivots reinforce this with a dominant downtrend and the next key resistance at 1.3495, while support is layered below at 1.3156 and 1.3184. However, the long-term YSFG trend remains up, with price still above the yearly NTZ center and all major long-term moving averages (20, 55, 100, 200 week) trending higher, indicating underlying bullish structure. This suggests the market is in a corrective phase within a broader uptrend, with the potential for further downside in the near term before any resumption of the long-term bullish move. The environment is characterized by a pullback or retracement against the prevailing yearly uptrend, with volatility and choppy price action likely as the market tests support levels.
Chart Analysis ATS AI Generated: 2025-10-13 07:01 for Informational use only, not trading advice. Terms and Risk Disclosure Copyright © 2025. Algo Trading Systems LLC.