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XAUUSD-Gold Daily Report

XAU/USD Daily Edge Report – December 29, 2025

Posted on December 29, 2025 by forex007

XAU/USD Daily Edge Report – December 29, 2025

πŸ“Š Pair: XAU/USD (Gold) πŸ“… Date: December 29, 2025

Current Price and Trend Snapshot 🌍

  • Current Level: ~4517–4533 (thin holiday liquidity, minor pullback from record highs ~4536).
  • Recent Move: Massive rally +70–73% YTD β€” historic strongest year since 1979, new ATHs repeatedly.
  • Key Levels: Support at 4495–4470; Resistance at 4536 (recent ATH) β†’ 4550–4600.
  • Overall Trend: Strongly Bullish on Daily/Weekly (higher highs/lows, parabolic uptrend); HTF bias overwhelmingly favors buyers amid USD weakness & safe-haven flows.

Technical Analysis Overview πŸ“ˆ

  • Major Levels: Trendline/channel support ~4470–4495; Imbalance zones near 4500–4525.
  • Potential Setups:
    • Setup #1 candidate: Liquidity sweeps below recent lows β†’ BOS higher β†’ reclaim for continuation longs.
    • Coiled near ATH suggests Compression β†’ Expansion breakout upside post-holidays.
    • Overbought but no reversal; watch for mean reversion only on extreme extension.
  • Daily: Strong Buy (above MAs); Weekly: Parabolic uptrend intact, targeting 4600+ if vol returns.

Retail Sentiment from X/Twitter & Social Media 🐦 Holiday quiet; recent posts dominated by signal spam/ads (free channels, buy/sell calls). Minimal real discussionβ€”no strong extremes, but scattered bullish calls on dips. Contrarian: Low engagement suggests retail not overcrowded yet; watch FOMO into new year.

Retail Sentiment Table

Source % Long % Short Extremes/Implications
Myfxbook ~44% ~56% Mild short β†’ Potential contrarian bullish (retail often wrong in strong trends)
OANDA/IG/FXSSI ~50-60% long (aggregated est.) ~40-50% Balanced; no heavy extreme β†’ Fade chase on failures

Professional/Institutional Sentiment 🏦

  • Bloomberg/FXStreet/TradingView: Strongly bullish; new ATHs, targets 4600+ short-term, 4900–5300 by end-2026.
  • Bank Reports (JPM, Goldman, BofA): Very bullish into 2026 (JPM ~5055 avg Q4, Goldman 4900 Dec, others 5000+); central bank buying + Fed cuts + ETF inflows drive. Implications: Specs heavily net-long, building further.

Most Recent COT Report πŸ“Š Latest (as of Dec 16, 2025): Non-commercial (specs) net-long ~234k contracts (up from prior, building amid rally); commercials hedging; small traders mixed. Weekly changes show increasing longsβ€”implies sustained bullish pressure from specs.

Fundamental Drivers πŸ’Ό

  • Ongoing Themes: Fed easing cycle (cuts into 2026) lowers opportunity cost; massive central bank buying (~70-80t/month expected); USD weakness + safe-haven/geopolitical demand; ETF inflows resuming.
  • Upcoming Events (Dec 29): No high-impact red newsβ€”extended holiday thin liquidity; year-end squaring possible. Expected reaction: Low vol, range-bound with potential upside bias on thin flows.

Overall Market Bias and Trading Ideas βš–οΈ Synthesize: Strongly Bullish HTF bias (parabolic structure + institutional targets + spec longs building + mild retail shorts = contrarian long asymmetry). Fundamentals scream higher into 2026 ($5000+ plausible), but thin vol risks shallow pullbacks/chop.

Potential Setups (H4/Daily Only):

  • A-Setup (Liquidity Sweep β†’ BOS β†’ Reclaim): Dip/sweep to 4490–4470 β†’ clean retest β†’ long targeting 4550–4600+ (RR 1:7+). Stop below low.
  • Risk: Holiday fakeouts/low vol; never forceβ€”wait London/NY for clean zone.
  • Fade any retail shorts/chase failures; small risk on noise, perfection on liquidity events.

Patient bulls rewarded hereβ€”market delivering massive asymmetry.

Category: Forex Daily Report, GOLD Daily Report

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