GoldMinds Family — Sniper Plan for June 12

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👋 Good evening traders!

CPI delivered clean reactions, and now we're stepping into the next setup zone as Core PPI, PPI m/m and Unemployment Claims line up on tomorrow’s calendar. Expect the volatility machine to wake up again.

Gold remains capped inside premium supply while liquidity continues to build on both sides. My plan is simple: execute only when price moves into proper levels — clean, confirmed, and structured.

🔎 Sniper Zones

Sell Zones:
• 3359 – 3375 → H1 premium OB + weak high inducement
• 3387 – 3398 → Extreme premium sweep zone

Buy Zones:
• 3312 – 3300 → H1 demand zone + internal FVG fill
• 3285 – 3272 → Deep flush liquidity zone

Mid Zone:
• 3336 – 3344 → Only valid for quick scalps with clean M5 confirmation

🧭 Bias

Bias remains bearish under 3375, but as always: let liquidity show its hand first.
News triggers liquidity. Liquidity triggers setups. We execute the third move.

🔎 The Battle Plan for Tomorrow

If price moves higher ahead of or after the news, I’m watching my first sell zone between 3359 and 3375. This is where liquidity stacks above recent highs, sitting inside the H1 premium order block and imbalance. Any clean reaction here can offer solid short opportunities.

If volatility drives an even stronger push, I have my second sell zone between 3387 and 3398 — an extreme premium zone where late buyers could get trapped after the news spike completes a full liquidity hunt. This would be my deeper liquidity sweep area.

If sellers take control early and we see a flush down before or after the release, I’ll be focused first on the 3312–3300 zone. This sits inside clean H1 demand, where previous liquidity was already collected. If price drops even further, I’m watching 3285–3272 as the deep liquidity sweep zone — where price may fully clear weaker hands before potential reversal.

Between 3336 and 3344 sits my mid-zone.
This is the area where price may consolidate or chop ahead of news. I avoid entering here unless I see a clean M5 confirmation for a quick scalp. Otherwise, it’s simply no-man’s land.

🎯 My Tactical Approach

If price reaches the sell zones → I wait for strong rejection & structure break on M5/M15 to execute shorts.

If price flushes into the buy zones → I wait for bullish confirmation on M15 to enter long.

Mid-range is ignored unless very clean setups appear on lower timeframe flips.

⚠ News days often start with traps. The first reaction isn’t always the real direction. I stay patient, disciplined, and let liquidity build before executing.

🚀 If this sniper plan helps you stay prepared, drop a 🚀, leave a comment, and Boost the post to support clean, real structure-based trading.
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