
Shanghai Gold (CNH) Futures (Jun 2026) forum
๏ปฟ
Rejection SHORT (A++)
Trigger: 15-min close โค 3616 (rejection) + 5-min lower-high close inside 3616โ3619 (underside of PDH).
Entry: 3617โ3619 on the retest after the LH close.
SL: 3625.5 (above sweep high).
Targets: TP1 3594, TP2 3573, TP3 3556.
or
Acceptance LONG (A++)
Trigger: 15-min close โฅ 3621 (acceptance) + 5-min hold/retest 3617โ3619.
Entry: 3617โ3620 on the retest.
SL: 3612 (tight) โ if structure forces 3606โ3608, size down to keep R โฅ 2.5.
Targets: TP1 3636, TP2 3640, TP3 3650โ3652.
Disqualifier: 15-min close โค 3616 flips back to the short branch.
sell max gold and silver and wait TGT1 105800 gold oct and 124000 silver dec before 10pm....
profit 10lakh per 10lot....
Gold miners go!
see gold and silver low 104550 and 123000 range today
15lakh per 10lot todays sell call profit before 7pm...
wait life high 106000 or again 104000 gold oct and
wait life high 126000 or again 12000 silver dec.....
15lakh per 10lot todays sell call profit before 7pm...
wait life high 106000 or again 104000 gold oct and
wait life high 126000 or again 12000 silver dec.....
earned money away . Picture yourself walking down the street handing out your HARD earned cash to randoms, thats basically what your doing lol
1. Date & Time
Date: 2nd September 2025
Time: 01:15 AM IST
2. Fundamental News (If Any)
Global sentiment turning defensive with expectations of US Fed rate cuts and rising geopolitical uncertainty.
Gold demand rising as a safe-haven asset, adding momentum to the rally.
3. Public Sentiment & Human Behaviour
Retail: Chasing the rally, expecting โnew lifetime highsโ into year-end.
Institutions: Already positioned in gold, now distributing into spikes.
Social Signal: Headlines overly bullish, increasing risk of overextension.
4. Current Structure
Macro View (1Y, 1M, 1W, 1D)
Resistance: 106,000 โ 110,000
Support: 100,000 โ 98,000
Structure: Mountain Expansion phase, but nearing maturity with exhaustion risk.
Micro View (4H, 1H, 15M, 5M)
Resistance: 105,200 โ 105,800
Support: 103,500 โ 102,800
Behaviour: Controlled pullbacks โ rebalancing moves after each spike.
5. Projection (Until December 2025)
Primary Path (65%)
Spike toward 108,000 โ 110,000, followed by correction into 100,000 โ 102,000.
Alternate Path (25%)
Sustained hold above 110,000 โ momentum may extend into 115,000 โ 118,000.
Low Path (10%)
Breakdown below 98,000 โ deep correction into 92,000 โ 94,000, only if macro sentiment flips risk-on.
6. Pullback Levels
Shallow: 103,800 โ 104,200
Medium: 102,800 โ 103,000
Deep: 98,000 โ 100,000
7. Final View
Bias: Bullish but Overstretched.
Gold likely to test 108,000โ110,000 before December, with risk of correction back to 100,000โ102,000.
8. Essence (Philosophy Line)
โGold is in Macro Expansion but Micro Fragile. Pullbacks are natural rebalances. Unless 110,000 is cleared with conviction, year-end will see both spikes and corrections.โ
9. Disclaimer
โ ๏ธ This analysis is shared for educational and research purposes only. It is not financial advice, trading advice, or investment recommendation. Market decisions are entirely your own responsibility.
#Gold
