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High Impact

Gold Finds Footing Near $4,500 as Iran War Enters Fifth Week

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🏷Markets
✍️Edited by Luís Barata

Gold prices have stabilized near $4,500 as the conflict in Iran extends into its fifth week, prompting increased demand for safe-haven assets. The ongoing geopolitical tensions are influencing market sentiment and risk appetite, leading investors to seek refuge in gold amid uncertainty. This heightened demand is particularly relevant for gold, which traditionally benefits during periods of conflict and instability. Traders will be closely watching developments in the Iran situation, particularly any potential escalations or diplomatic resolutions that could impact global markets.

Source: Originally reported by Yahoo Finance at March 30, 2026. Summary and market context by Trading News Terminal editorial.

About GOLD

Gold (XAU/USD) is a safe-haven asset and inflation hedge. Major drivers include Fed policy (real yields), central bank buying (PBOC, RBI), ETF flows, and geopolitical risk. Gold often moves inversely to DXY and real US yields.

Why this matters for traders

HIGH-impact news is typically a market-moving event with multi-pip or multi-percent intraday reactions. Examples include central bank rate decisions, major CPI/NFP releases, geopolitical shocks, mega-cap earnings beats/misses, and regulatory announcements. Traders typically position-reduce or hedge ahead of scheduled HIGH-impact events, and follow the wire in real time to react to unscheduled ones (war headlines, central-bank emergency statements, surprise corporate actions). The Trading News Terminal squawk box reads every HIGH-impact headline aloud the moment it hits the wire — so active traders don't have to stare at the feed.

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