Skip to main content
Proprietary Indicator

Gold Safe-Haven Premium Score

Measures the "fear premium" in the gold market on a 0–100 scale. Combines gold's premium over its 200-day moving average with VIX volatility, dollar weakness, and momentum signals.

Live Data Sync

Algorithm Inputs

7 signals

Score Interpretation

0–30: Buy
Price at/below baseline, or pullback in genuinely fearful markets. Historically strong accumulation windows.
31–74: Hold
Premium and stress roughly in balance. No strong directional edge — size new entries carefully.
75–100: Sell
Rich premium with hot momentum and calm markets. Euphoric, disconnected from fundamentals.

Divergence Analysis (1Y)

Gold Spot Price vs. Fear Premium Score

Loading chart data...

Raw Data Log

Last 30 days

No data available yet.