
GC Gold Futures Daily Chart Analysis: 2025-Dec-07 18:08 CT
Price Action
- Last: 4299.4,
- Bars: Medium,
- Mom: Average.
WSFG Weekly
- Short-Term
- WSFG Current: 2%
- F0%/NTZ' Bias: Price Above,
- WSFG Trend: Up.
MSFG Month Dec
- Intermediate-Term
- MSFG Current: -13%
- F0%/NTZ' Bias: Price Below,
- MSFG Trend: Down.
YSFG Year 2025
- Long-Term
- YSFG Current: 372%
- F0%/NTZ' Bias: Price Above,
- YSFG Trend: Up.
Swing Pivots
- (Short-Term) 1. Pvt. Trend: UTrend,
- (Intermediate-Term) 2. HiLo Trend: Neutral,
- 3. Pvt. Evolve: Pvt High 4299.4,
- 4. Pvt. Next: Pvt Low 4174.7,
- 5. Levels R: 4434.4, 4299.4,
- 6. Levels S: 4174.7, 4052.9, 4033.6, 3937.7, 3836.5, 3744.8, 3556.6, 3344.5.
Daily Benchmarks
- (Short-Term) 5 Day: 4242.8 Up Trend,
- (Short-Term) 10 Day: 4200.5 Up Trend,
- (Intermediate-Term) 20 Day: 4174.7 Up Trend,
- (Intermediate-Term) 55 Day: 4052.9 Up Trend,
- (Long-Term) 100 Day: 3833.6 Up Trend,
- (Long-Term) 200 Day: 3583.7 Up Trend.
Additional Metrics
Recent Trade Signals
- 05 Dec 2025: Short GC 02-26 @ 4237.6 Signals.USAR-WSFG
- 04 Dec 2025: Short GC 02-26 @ 4219.2 Signals.USAR-MSFG
- 02 Dec 2025: Short GC 02-26 @ 4215.3 Signals.USAR.TR120
Overall Rating
- Short-Term: Neutral,
- Intermediate-Term: Bearish,
- Long-Term: Bullish.
Key Insights Summary
GC Gold Futures are currently consolidating near recent highs after a strong multi-month rally, with price action showing medium-sized bars and average momentum. The short-term trend remains neutral as the market digests gains, evidenced by a recent swing high pivot and a potential pivot low forming below. The weekly session fib grid (WSFG) trend is up, with price holding above the NTZ, but the monthly session fib grid (MSFG) trend has turned down, indicating intermediate-term weakness as price trades below the monthly NTZ. All benchmark moving averages across short, intermediate, and long-term timeframes are in uptrends, reflecting underlying bullish structure, but the recent trade signals have shifted to the short side, suggesting a possible corrective phase or pullback. Volatility remains moderate, and volume is steady, with no extreme spikes. The market is at a technical crossroads: while the long-term uptrend is intact, the intermediate-term is showing signs of retracement or consolidation, and short-term signals are mixed. This environment is typical of a market pausing after a strong advance, with potential for either a deeper pullback or a resumption of the uptrend depending on how support and resistance levels are tested in the coming sessions.
Chart Analysis ATS AI Generated: 2025-12-07 18:08 for Informational use only, not trading advice. Terms and Risk Disclosure Copyright © 2025. Algo Trading Systems LLC.