XAU/USD 27 March 2026 Intraday AnalysisH4 Analysis:
-> Swing: Bullish.
-> Internal: Bearish.
Analysis and bias to remain the same as analysis dated 24 March 2026.
Price has printed a bullish CHoCH to indicate bullish pullback phase initiation.
Price is currently trading within an Established internal range.
Intraday expectation:
Price to react at either premium of 50% internal EQ, or H4 demand zone before targeting weak internal low currently priced at 4,099.125.
Note:
Gold remains volatile as tensions between the US, Israel, and Iran keep safe‑haven demand elevated.
Markets are reacting quickly to every headline, while uncertainty around the Fed’s easing path and shifting U.S. policy under President Trump, especially tariffs continues to fuel choppy price action.
For newer traders, the key is simple, stay flexible and manage risk carefully, as fast spikes and sudden reversals are a normal part of the current XAU/USD environment.
H4 Chart:
M15 Analysis:
-> Swing: Bearish.
-> Internal: Bearish.
Analysis and bias to remain the same as analysis dated 23 March 2026.
Price has printed a bearish iBOS and BOS.
Price is currently trading within an internal high and fractal low with CHoCH positioning denoted with a blue horizontal dotted line, however, I shall monitor price with respect to depth of pullback.
Intraday expectation:
Price to print bullish CHoCH to indicate bullish pullback phase initiation, thereafter, price to trade up to either premium of 50% EQ or M15 supply zone before targeting weak internal low priced at 4099.125.
Note:
Gold remains highly reactive on the M15 as geopolitical risk continues to drive quick, headline‑led moves.
The latest tension between the US, Israel, and Iran is keeping safe‑haven demand elevated, with markets still sensitive to any sign of escalation.
At the same time, shifting US tariff policy under President Trump is adding extra uncertainty, fuelling sharp intraday swings and increasing the likelihood of sudden sentiment flips. Liquidity pockets and whipsaws remain common, making disciplined risk management essential.
Gold’s geopolitical premium is still firmly in place, and until tensions ease, short‑term volatility is likely to stay front‑loaded.
M15 Chart:
Xausdidea
XAU/USD 21 January 2025 Intraday AnalysisH4 Analysis:
-> Swing: Bullish.
-> Internal: Bullish.
As per analysis of yesterday where I mentioned price could potentially continue bullish is how price printed.
Currently, CHoCH positioning remains the same
Price is trading within an internal low and fractal high.
CHoCH positioning is denoted with a blue dotted line.
Intraday expectation:
Price to print bearish CHoCH to indicate bullish pullback phase initiation. Thereafter price to react at either discount of 50% internal EQ, or H4 supply zone before targeting weak internal high priced at 4,888.545.
Alternative scenario: Price to again continue bullish.
Note:
The Federal Reserve’s renewed easing cycle, alongside a weaker U.S. dollar and persistent geopolitical tensions, continues to drive volatility in the gold market.
Traders should remain cautious and adjust risk management strategies to navigate sharp price swings.
Additionally, gold pricing is highly sensitive to U.S. policy under President Trump, where tariff measures, fiscal uncertainty, and shifting geopolitical strategy amplify market repricing risks and reinforce safe‑haven demand.
H4 Chart:
M15 Analysis:
-> Swing: Bullish.
-> Internal: Bullish.
Price has continued to print higher-highs.
Price previously printed a bearish CHoCH followed by bullish momentum, however, due to the insignificance of the pullback, I shall apply discretion and not classify as iBOS. This has been marked in red.
Price has once again printed a bearish CHoCH.
Price is currently trading within an established internal range, however, I shall monitor this with respect to depth of pullback.
Intraday expectation:
Price to trade down to either M15 or H4 demand zone, or discount of 50% internal EQ before targeting weak internal high, priced at 4,888.545.
Note:
Gold continues to exhibit elevated volatility as markets digest the Federal Reserve’s ongoing dovish tilt and persistent global geopolitical tensions.
With uncertainty remaining a dominant theme across global risk assets, traders should prioritise disciplined risk management, as abrupt price swings and liquidity pockets may become increasingly common.
Furthermore, recent tariff announcements from President Trump, particularly those directed at China, have added another layer of instability to the macro landscape. These policy developments have the potential to intensify market turbulence, heighten risk‑off flows, and trigger sharp intraday reversals or whipsaw‑like behaviour in gold.
M15 Chart:
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GOLD GLOBAL VISION (Elliott Waves)Hello friends.
Please support my work by clicking the LIKE button👍(If you liked). Also i will appreciate for ur activity. Thank you!
Everything on the chart.
Nothing has changed from my last idea,everything according plan.
received a strong upward movement on volumes, we are forming the fifth wave
Globally we are in wave (iv) of 5. After which we will see the final growth in the area of 2200.
MAIN TARGET ZONE: 2150-2300
STOP: 1750
Risk/Reward: 1 to 5
Good luck everyone!
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It's not financial advice.
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