Gold holds near $5,000 as Oil-driven inflation risks cap upside

출처 Fxstreet
  • Gold steadies near $5,000 as the US Dollar retreats from recent highs.
  • Markets await the Fed interest rate decision and guidance from other major central banks this week.
  • Technically, XAU/USD faces selling pressure as prices test the key $5,000 support.

Gold (XAU/USD) trades broadly flat on Monday after reversing intraday losses as the US Dollar (USD) eases following its recent rally. However, Oil-driven inflation concerns stemming from the ongoing US-Iran war raise the risk that central banks will keep borrowing costs elevated for longer, which continues to cap the metal’s upside despite heightened geopolitical tensions.

At the time of writing, XAU/USD is consolidating around $5,012 after briefly falling to $4,967, its lowest level in over three weeks.

Strait of Hormuz in focus as Oil prices surge

Shipping disruptions in the Strait of Hormuz remain a key concern as the US-Iran war enters its third week. Oil prices have risen sharply since the US-Israel joint strikes on Iran, with Brent crude currently up about 36% and West Texas Intermediate (WTI) around 42% from pre-conflict levels.

Over the weekend, Middle East war headlines pointed to a further escalation, increasing concerns that the conflict could become prolonged and continue to affect global energy markets.

The United States conducted airstrikes on Iran’s Kharg Island, targeting military sites. US President Donald Trump warned that the US could strike Iran’s oil infrastructure if Tehran interferes with ships passing through the Strait of Hormuz. He also called on countries including China, the United Kingdom, France, Japan and South Korea to send warships to help keep the waterway open for shipping.

Iran’s Foreign Minister Abbas Araghchi said that the Strait of Hormuz would be closed only to “enemies and those supporting their aggression,” according to Iran’s SNN news agency.

With no clear signs of de-escalation in the conflict, Oil prices are expected to remain elevated in the near term. Higher energy costs could feed into consumer inflation, raising the risk of stagflation and forcing major central banks to reassess their monetary policy outlook.

Investors have started to scale back expectations for Federal Reserve (Fed) interest rate cuts, with the probability of a 25-basis-point (bps) cut in June falling to 23.6% from 51.2% a month ago, according to the CME FedWatch Tool. Markets are now pricing in only one interest-rate cut by the end of the year, compared with earlier expectations for two cuts.

Global central bank decisions in the spotlight this week

Traders now await the Fed’s interest-rate decision on Wednesday, where the central bank is widely expected to keep rates unchanged at 3.50%-3.75%. The focus will be on Fed Chair Jerome Powell’s forward guidance, as investors look for clues on how policymakers assess the impact of surging Oil prices on the economic outlook.

Markets will also watch the updated Summary of Economic Projections (SEP) and the dot plot for signals on the future path of interest rates.

Alongside the Fed, several other major central banks are also set to announce policy decisions this week, including the Bank of England (BoE), the European Central Bank (ECB), the Bank of Japan (BoJ), the Bank of Canada (BoC) and the Reserve Bank of Australia (RBA), with the BoE, ECB, BoJ and BoC expected to keep policy unchanged while the RBA is seen as likely to raise interest rates again.

Technical analysis: XAU/USD tests $5,000 as bearish pressure builds

From a technical perspective, XAU/USD continues to face selling pressure, with prices now testing the key $5,000 psychological level. On the daily chart, the near-term bias has turned mildly bearish as spot drifts back toward the rising 50-day Simple Moving Average (SMA) near $4,955. However, prices remain comfortably above the ascending 100-day SMA, which continues to preserve the broader uptrend.

The Relative Strength Index (RSI) has retreated toward 47, below the 50 midline, signaling fading bullish momentum. The Moving Average Convergence Divergence (MACD) line trades below its Signal line and below the zero mark with a deepening negative histogram, reinforcing building downside pressure in the near term.

A decisive break below the $5,000 psychological level and the 50-day SMA near $4,955 could accelerate selling pressure and expose the 100-day SMA around $4,573. On the upside, the $5,200 region remains a key resistance level that bulls need to clear to regain upward momentum.

US Dollar Price Today

The table below shows the percentage change of US Dollar (USD) against listed major currencies today. US Dollar was the strongest against the Canadian Dollar.

USD EUR GBP JPY CAD AUD NZD CHF
USD -0.55% -0.44% -0.40% -0.26% -1.02% -1.27% -0.48%
EUR 0.55% 0.20% 0.16% 0.31% -0.47% -0.59% 0.07%
GBP 0.44% -0.20% 0.04% 0.11% -0.66% -0.82% -0.08%
JPY 0.40% -0.16% -0.04% 0.16% -0.62% -0.71% -0.09%
CAD 0.26% -0.31% -0.11% -0.16% -0.76% -0.93% -0.19%
AUD 1.02% 0.47% 0.66% 0.62% 0.76% -0.15% 0.65%
NZD 1.27% 0.59% 0.82% 0.71% 0.93% 0.15% 0.73%
CHF 0.48% -0.07% 0.08% 0.09% 0.19% -0.65% -0.73%

The heat map shows percentage changes of major currencies against each other. The base currency is picked from the left column, while the quote currency is picked from the top row. For example, if you pick the US Dollar from the left column and move along the horizontal line to the Japanese Yen, the percentage change displayed in the box will represent USD (base)/JPY (quote).

면책 조항: 정보 제공 목적으로만 사용됩니다. 과거 성과가 미래 결과를 보장하지 않습니다.
placeholder
리플 가격 전망: XRP 하락 속 거래소 유입 급증, 다음은?리플(XRP)은 비트코인(BTC)과 이더리움(ETH)을 포함한 주요 디지털 자산들과 함께 하락세를 보였으며, 수요일 작성 시점에서 $2.08에 거래되었습니다. 이번 하락은 암호화폐 시장 전반에 영향을 미쳐, 전체 시가총액이 3.2% 감소한 $2.736조를 기록했습니다.
저자  FXStreet
2025 년 4 월 16 일
리플(XRP)은 비트코인(BTC)과 이더리움(ETH)을 포함한 주요 디지털 자산들과 함께 하락세를 보였으며, 수요일 작성 시점에서 $2.08에 거래되었습니다. 이번 하락은 암호화폐 시장 전반에 영향을 미쳐, 전체 시가총액이 3.2% 감소한 $2.736조를 기록했습니다.
placeholder
이더리움 가격 전망: ETH, 비트코인을 추월할 가능성 – 주요 암호화폐는 수익 감소에 직면이더리움 (ETH)의 거래 가격이 수요일 2,600 달러를 돌파했습니다. 이는 일부 전문가들이 이더리움이 궁극적으로 비트코인 (BTC)을 넘어설 것이라고 예측한 데 따른 것으로, 상위 암호화폐가 시가총액 증가로 인해 수익 감소 효과로 인해 성장 둔화를 겪을 수 있다는 점을 고려한 것입니다.
저자  FXStreet
2025 년 5 월 29 일
이더리움 (ETH)의 거래 가격이 수요일 2,600 달러를 돌파했습니다. 이는 일부 전문가들이 이더리움이 궁극적으로 비트코인 (BTC)을 넘어설 것이라고 예측한 데 따른 것으로, 상위 암호화폐가 시가총액 증가로 인해 수익 감소 효과로 인해 성장 둔화를 겪을 수 있다는 점을 고려한 것입니다.
placeholder
2026년 암호화폐 톱10 전망: 기관 수요와 대형 은행이 비트코인을 끌어올릴까2026년 크립토 전망은 비트코인 기관 수요 회복, ETF 자금 흐름, 스테이블코인·AI·RWA 토큰화, 솔라나 TVL, 프라이버시 섹터 재부상 등 10가지 테마를 중심으로 전개될 수 있다.
저자  Mitrade팀
2025 년 12 월 22 일
2026년 크립토 전망은 비트코인 기관 수요 회복, ETF 자금 흐름, 스테이블코인·AI·RWA 토큰화, 솔라나 TVL, 프라이버시 섹터 재부상 등 10가지 테마를 중심으로 전개될 수 있다.
placeholder
2026년 시장 전망: 금, 비트코인, 미국 달러가 다시 한번 기록을 세울까요? 주요 기관들의 관점을 확인해 보세요격동의 2025년 이후, 2026년에는 원자재, 외환, 가상화폐 시장에 무슨 일이 일어날까요?
저자  Mitrade팀
2025 년 12 월 25 일
격동의 2025년 이후, 2026년에는 원자재, 외환, 가상화폐 시장에 무슨 일이 일어날까요?
placeholder
2026년 증시 ‘톱5’ 전망…AI 옥석가리기·배당주 선호·밸류에이션 조정 가능성S&P500의 3년 연속 두 자릿수 상승 이후 2026년에는 AI 옥석가리기, 섹터 로테이션, 배당주 선호, Shiller CAPE 39에 따른 밸류에이션 조정, 양자컴퓨팅 테마 급등 가능성이 핵심 변수로 거론된다.
저자  Mitrade팀
1 월 05 일 월요일
S&P500의 3년 연속 두 자릿수 상승 이후 2026년에는 AI 옥석가리기, 섹터 로테이션, 배당주 선호, Shiller CAPE 39에 따른 밸류에이션 조정, 양자컴퓨팅 테마 급등 가능성이 핵심 변수로 거론된다.
goTop
quote