The US30 (Dow Jones Industrial Average) is showing a bullish outlook based on a confluence of Smart Money Concepts (SMC), price action patterns, and supportive fundamental analysis. From an SMC perspective, the recent price action indicates a clear market structure shift, highlighted by a break of structure (BOS) in early May 2025. This bullish reversal followed a significant liquidity sweep and mitigation around the 37,000 level, where smart money likely accumulated positions. A bullish order block between 40,679 and 41,189 now acts as a strong demand zone, providing a potential launch point for further upward movement. Technically, the chart features a descending wedge breakout and a bullish flag formation—both classical continuation patterns. Price is currently forming higher highs and higher lows, reinforcing the bullish trend.
The trade idea aligns with these observations, suggesting a long entry around the 41,700 to 41,900 range, with a stop loss just below the key demand zone at 40,679. The first take profit is set at 44,472.5, aligning with historical resistance and liquidity targets, offering an approximate risk-to-reward ratio of 1:3. On the fundamental side, the mid-2025 U.S. economic outlook is improving, with inflation showing signs of cooling and the Federal Reserve expected to pause or consider rate cuts. A stable geopolitical climate and strong earnings seasons have further boosted investor confidence, supporting continued bullish momentum in equities. Altogether, this presents a high-probability swing trade opportunity to the upside on the US30 index.
The trade idea aligns with these observations, suggesting a long entry around the 41,700 to 41,900 range, with a stop loss just below the key demand zone at 40,679. The first take profit is set at 44,472.5, aligning with historical resistance and liquidity targets, offering an approximate risk-to-reward ratio of 1:3. On the fundamental side, the mid-2025 U.S. economic outlook is improving, with inflation showing signs of cooling and the Federal Reserve expected to pause or consider rate cuts. A stable geopolitical climate and strong earnings seasons have further boosted investor confidence, supporting continued bullish momentum in equities. Altogether, this presents a high-probability swing trade opportunity to the upside on the US30 index.
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