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*) see also: InstaSpot Trading Indicators for XAU/USD
In a context of reduced trading volumes and amid the dollar's recovery, the price of gold and the XAU/USD pair are declining in the first half of Monday's trading.
The XAU/USD pair was trading near $4,458, moving towards the nearest significant support level of $4,420 (EMA200 on the 1-hour chart), which separates the short-term bullish market from the bearish one.
The dollar is gradually recovering after a period of relative weakness driven by changes in the Federal Reserve's policy. Employment and inflation figures continue to positively influence the currency, providing it with some stability. After a prolonged decline, the dollar index (USDX) has found technical support near one of the key strategic levels, separating the global bullish USDX market from the bearish one—97.60 (EMA144 on the monthly chart).
However, the dollar's growth should still be viewed as corrective within the ongoing bearish trend. According to the CME FedWatch data, the market is pricing in a high probability of maintaining the rate at the January FOMC meeting (82%) and a low probability (18%) of a 25-basis-point cut. This indicates that expectations for further rapid tightening have softened, and the market is already accounting for gradual rate reductions in the future.
The prospects for the dollar's further growth depend on several important factors:
The price of gold is currently declining in a low-liquidity environment, influenced by the strengthening dollar and rising expectations of global political changes.
Nonetheless, the price of gold remains near historic highs, reflecting deep structural problems in the global economy and ongoing uncertainty in several regions of the world.
The dollar is showing a technical recovery after a period of weakness, but its potential is limited by expectations of further Fed rate cuts. Gold is correcting from record highs under pressure from the strengthening dollar and hopes for de-escalation in Ukraine, but it remains sensitive to real rates, inflation, and geopolitical risks.
The prospects for the dollar and gold are closely tied to developments in the global economy and to central bank policies. Despite the current positive signals for the dollar, long-term economic and political factors may alter the balance of power in the global financial market. Investors and traders should closely monitor key indicators and events to make informed decisions regarding their investments in dollars and gold.
*La presente analisi del mercato ha un carattere esclusivamente informativo e non rappresenta una guida per l`effettuazione di una transazione.
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