I am relatively new to futures trading, but must admit that I was really surprised to see the action on Friday. Was there a lot of institutional selling of futures contracts to lower the projected upside at contract expiration in December, or am I thinking about it wrong? It suggests to me that the big institutions are seeing less upside going into the end of the year. Interested in other views and/or insights. TYIA!
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Key zone: 26165-26115
Long 🎯: 26314-26364
Short 🎯: 25966-25916
GOLD
Key zone: 4042-4021
Long 🎯: 4063-4084
Short 🎯: 4000-3980
XAU/USD SIGNAL
Type: 🟢 BUY
Entry Zone: 3,980 – 4,000
Target (TP): 🎯 4,070
Stop Loss (SL): 🔻 3,960
Trend Bias: Bullish within ascending channel
Confirmation: Wait for bullish rejection or strong candle close above support zone
NQ1!
ES1!
Type: 🟢 BUY
Entry Zone: 3,980 – 4,000
Target (TP): 🎯 4,070
Stop Loss (SL): 🔻 3,960
Trend Bias: Bullish within ascending channel
Confirmation: Wait for bullish rejection or strong candle close above support zone

Idea: NASDAQ (NQ1!) – Bearish Diverg…
