Session Snapshot
- Open: 2378.20
- High: 2392.10
- Low: 2375.80
- Close: 2385.50
- Change: +0.31%
- MCM State: Markup
- Volume Context: High
Supply/Demand Zones
Demand Zones
| Zone |
Range |
Status |
Strength |
| D1 |
2375.80-2378.20 |
Fresh |
Strong |
| D2 |
2365.00-2368.00 |
Tested |
Moderate |
Supply Zones
| Zone |
Range |
Status |
Strength |
| S1 |
2390.00-2392.10 |
Fresh |
Strong |
| S2 |
2402.00-2405.00 |
Tested |
Moderate |
Support/Resistance Matrix
| Level |
Type |
Price |
Strength |
Distance |
| R2 |
Psychological/Structural |
2400.00 |
Strong |
+0.6% |
| R1 |
Structural |
2392.10 |
Moderate |
+0.3% |
| Current |
- |
2385.50 |
- |
- |
| S1 |
Structural |
2378.20 |
Strong |
-0.3% |
| S2 |
Psychological |
2370.00 |
Moderate |
-0.7% |
Liquidity Hunt Map
- Buy-Stop Clusters: 2392.10-2395.00
- Sell-Stop Clusters: 2375.80-2372.00
- Recent Sweeps: Low swept at 07:15 UTC
- Next Target: Buy-stops above 2392.10
Fear Factor Meter
FEAR [π΄π π π‘π’π’βͺ] GREED
β²
Score: 6/10 - Neutral
Inputs: DXY=108.5, VIX=14.2, US10Y=4.52%
Directional Bias
- Bias: Long
- Confidence: Medium
- Rationale: Markup phase with fresh demand holding in high-volume London session; pullbacks to D1 likely to resume higher ahead of US data.
Action Zones
| Setup |
Entry |
Trigger |
TP1 |
TP2 |
SL |
| π’ Long |
D1 2375.80-2378.20 |
Spring or bullish OB 08:55-09:05 |
2392.10 |
2400.00 |
2372.00 |
| π΄ Short |
S1 2390.00-2392.10 |
Upthrust rejection |
2378.20 |
2375.80 |
2395.00 |
Momentum View
IF pullback holds D1 fresh zone during OB window β likely markup resumption targeting S1; else possible distribution if S1 rejects with exhaustion effort.