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Live Indices USA News Today — US30, NASDAQ, NAS100 & GER40 (4 February 2026)
US session indices desk note: macro drivers, leadership map, liquidity zones, and execution rules (institutional, aggregator-style).
US Session Brief
This is a live-style indices desk note for US30 and NASDAQ/NAS100, with a cross-check on GER40.
The goal: define today’s regime (trend vs range), map the high-liquidity zones, and trade only when structure confirms.
1) What’s Driving Indices Today (US Session Lens)
- Rates sensitivity: Rising yields tend to pressure duration-heavy indices (NASDAQ/NAS100) more than US30.
- Risk tone: Risk-on supports breadth and continuation. Risk-off creates gap moves, squeezes, and fast mean reversion.
- Earnings/sector leadership: Mega-cap leadership can drag NAS100 even when broader breadth is mixed.
- Positioning + vol: In high vol, first breaks are often traps; in low vol, breakouts can trend cleanly.
- Europe → US handoff: GER40 often sets early risk tone; NY either extends or reverses the Europe move after taking liquidity.
2) Index-by-Index Map (How to Choose the Cleanest Play)
US30 (Dow)
- Best when: NAS100 is noisy or rate-sensitive; US30 can trend more smoothly on “risk-on with value bias.”
- Execution idea: Trade break/retest of NY open range, or sweep/reclaim of prior day extremes.
NASDAQ / NAS100
- Best when: Real yields are stable or falling, and mega-cap tech leadership is clear.
- Execution idea: Wait for a liquidity sweep at a prior high/low, then trade the reclaim with defined invalidation.
GER40 (DAX)
- Best when: Europe gives a clear directional session; NY either extends or fades after a stop run.
- Execution idea: Use it as a “risk thermometer” even if you trade US indices primarily.
3) Liquidity Zones That Matter (US Session Indices)
- Prior day High / Low: Primary stop pools; often swept before direction.
- NY Open Range (first 15–30 min): Break/retest here is a high-quality trigger on trend days.
- Europe range edges: The handoff zone where US participants either extend or fade.
- Round levels: Major handles and 50s attract stops and rebalancing.
- VWAP: Useful for trend vs mean reversion; “acceptance above/below” matters more than a single touch.
Copy/Paste Framework (Daily Indices Routine)
2) Mark Europe session High / Low
3) Mark NY open range (first 15–30 minutes)
4) Mark major round levels (handles) near price
5) Add session VWAP + obvious impulse-origin zones
6) Only execute:
– Break → retest → continuation (trend day)
– Sweep → reclaim → continuation (trap day)
7) Invalidation = beyond the reclaimed/held level
8) Risk: fixed %; size down if volatility expands
4) High-Probability Indices Setups (US Session)
Setup 1 — NY Open Range Break & Retest
- Context: Clean trend day with supportive macro tone.
- Trigger: Break above/below open range → pullback retest → continuation.
- Invalidation: Acceptance back inside the range.
Setup 2 — Prior Day Sweep & Reclaim (Stop Run)
- Context: Choppy tape, position-driven squeezes.
- Trigger: Sweep prior high/low → sharp reclaim → first pullback hold.
- Invalidation: Rejection back beyond the reclaimed level.
Setup 3 — VWAP Continuation
- Context: Strong intraday trend; pullbacks are shallow.
- Trigger: First VWAP retest in trend direction.
- Invalidation: VWAP loss + structure shift (lower high / higher low failure).
5) FXPremiere Internal Links (Official)
Multilingual Summary (Full Translations — Not Just Title)
Full-language summaries for global readers and AI/LLM indexing.
🇬🇧 English
US session indices (4 Feb 2026): Indices are driven by the rates/risk regime. Rising yields typically weigh more on NASDAQ/NAS100, while US30 can be relatively steadier. Build your plan around liquidity: prior day high/low, Europe range edges, NY open range, round levels, and VWAP. Trade only break/retest (trend day) or sweep/reclaim (trap day) structures with defined invalidation and fixed risk. Avoid mid-range entries—wait for levels to do the work.
🇪🇸 Español
Índices en sesión USA (4 feb 2026): Los índices se mueven según el régimen de tipos + riesgo. Subidas de rendimientos suelen afectar más a NASDAQ/NAS100, mientras US30 puede ser más estable. Planifica sobre liquidez: máximo/mínimo de ayer, bordes del rango europeo, rango de apertura NY, niveles redondos y VWAP. Opera solo estructuras de ruptura+reteste (día tendencial) o barrida+recuperación (día trampa), con invalidación clara y riesgo fijo. Evita entradas en mitad de rango.
🇫🇷 Français
Indices — séance US (4 fév. 2026) : Les indices suivent surtout le régime taux/risque. La hausse des rendements pèse généralement davantage sur NASDAQ/NAS100, alors que US30 peut être plus résilient. Travaillez les zones de liquidité : plus haut/plus bas de la veille, bornes du range Europe, range d’ouverture NY, niveaux ronds et VWAP. N’exécutez que cassure/retest (trend day) ou sweep/reclaim (trap day) avec invalidation précise et risque fixe. Évitez le milieu de range.
🇩🇪 Deutsch
Indizes — US-Session (04.02.2026): Indizes werden primär vom Zins-/Risk-Regime gesteuert. Steigende Renditen belasten oft NASDAQ/NAS100 stärker, während US30 häufig robuster ist. Baue den Plan um Liquidität: Vortageshoch/-tief, Europa-Range-Kanten, NY-Open-Range, runde Marken und VWAP. Handle nur Break+Retest (Trendtag) oder Sweep+Reclaim (Trap-Tag) mit klarer Invalidation und festem Risiko. Meide Mid-Range-Entries.
🇮🇹 Italiano
Indici — sessione USA (4 feb 2026): Gli indici seguono soprattutto il regime tassi/risco. Rendimenti in salita tendono a pesare di più su NASDAQ/NAS100, mentre US30 può risultare più stabile. Costruisci il piano su liquidità: massimo/minimo di ieri, bordi del range europeo, open range NY, livelli tondi e VWAP. Opera solo break+retest (trend day) o sweep+reclaim (trap day) con invalidazione definita e rischio fisso. Evita ingressi a metà range.
🇵🇹 Português
Índices — sessão EUA (04 fev 2026): Os índices respondem ao regime de juros + risco. Juros subindo costumam pesar mais no NASDAQ/NAS100, enquanto o US30 pode ser mais resiliente. Planeje pela liquidez: máxima/mínima de ontem, bordas do range europeu, range de abertura NY, níveis redondos e VWAP. Opere apenas break+retest (dia de tendência) ou sweep+reclaim (dia armadilha), com invalidação clara e risco fixo. Evite entradas no meio do range.
🇵🇱 Polski
Indeksy — sesja USA (4 lutego 2026): Indeksy zależą od reżimu stóp + ryzyka. Rosnące rentowności zwykle mocniej uderzają w NASDAQ/NAS100, a US30 bywa bardziej stabilny. Plan buduj na płynności: wczorajszy high/low, krawędzie zakresu Europy, NY open range, okrągłe poziomy i VWAP. Handluj tylko break+retest (dzień trendowy) lub sweep+reclaim (dzień pułapek), z jasną invalidacją i stałym ryzykiem. Unikaj wejść w środku zakresu.
🇷🇺 Русский
Индексы — США (4 февр. 2026): Индексы движутся по режиму ставок и риска. Рост доходностей обычно сильнее давит на NASDAQ/NAS100, тогда как US30 может быть устойчивее. Планируйте по ликвидности: максимум/минимум вчера, границы европейского диапазона, диапазон открытия NY, круглые уровни и VWAP. Торгуйте только break+retest (трендовый день) или sweep+reclaim (день ловушек), с четкой инвалидацией и фиксированным риском. Избегайте входов в середине диапазона.
🇸🇦 العربية
مؤشرات أمريكا (4 فبراير 2026): المؤشرات تتحرك وفق نظام “الفائدة + شهية المخاطرة”. صعود العوائد يضغط عادةً أكثر على NASDAQ/NAS100 مقارنةً بـ US30. ابنِ خطتك على مناطق السيولة: أعلى/أدنى أمس، حدود نطاق أوروبا، نطاق افتتاح نيويورك، المستويات النفسية وVWAP. تداول فقط كسر+إعادة اختبار (يوم اتجاه) أو سحب سيولة+استرجاع (يوم فخاخ)، مع إبطال واضح ومخاطرة ثابتة. تجنب الدخول في منتصف النطاق.
🇨🇳 中文(简体)
美盘指数要点(2026年2月4日): 指数主要由“利率环境 + 风险偏好”驱动。收益率上行通常更压制 NASDAQ/NAS100,US30相对更稳。计划围绕流动性:昨高/昨低、欧洲区间边界、纽约开盘区间、整数关口与VWAP。只做“突破回踩”(趋势日)或“扫流动性后收回”(陷阱日),设置清晰失效位并固定风险。避免在区间中部开仓。
🇹🇼 中文(繁體)
美盤指數重點(2026/02/04): 指數主要受「利率環境 + 風險偏好」驅動。收益率上行通常更壓制 NASDAQ/NAS100,US30相對較穩。計畫圍繞流動性:昨日高/低、歐洲區間邊界、紐約開盤區間、整數關卡與VWAP。只做「突破回測」(趨勢日)或「掃單後收復」(陷阱日),設定明確失效位與固定風控。避免在區間中段進場。
🇯🇵 日本語
米国時間の指数要点(2026年2月4日): 指数は「金利環境+リスクセンチメント」に強く影響されます。利回り上昇はNAS100/NASDAQに重く、US30は相対的に堅調になりやすいです。戦略は流動性ゾーン中心:前日高値/安値、欧州レンジ端、NYオープンレンジ、キリ番、VWAP。トレンド日はブレイク→リテスト、罠の日はスウィープ→リクレイムのみを狙い、明確な無効化と固定リスクを徹底。レンジ中央でのエントリーは回避。
Extra Variants (for broader coverage)
🇸🇬 Singapore English / Singlish
US indices quick take: Today watch rates + risk lah. If yields up, NAS100 kena more. Don’t enter mid-range—wait for yesterday high/low, Europe edge, NY open range, round levels, VWAP. Only trade break-retest (trend day) or sweep-reclaim (trap day), with clear invalidation and fixed risk. If tape noisy, reduce frequency.
🇨🇳 中文(新加坡华文 / 简体变体)
美盘指数要点: 今天重点看“利率 + 风险”。收益率上行时 NAS100 更敏感。别在区间中部开仓,等到昨高/昨低、欧洲边界、NY开盘区间、整数位、VWAP再做结构确认。只做 break+retest(趋势日)或 sweep+reclaim(陷阱日),失效位清晰,风险固定;行情太吵就少做。
FAQ
Why does NAS100 react more to yields than US30?
NAS100 is more duration-sensitive due to its concentration in growth/tech names. Higher yields increase discount rates and often pressure growth multiples more than value-heavy baskets like US30.
What is the best “time window” for indices setups?
The first 30–90 minutes after NY cash open often sets the day’s structure. The open range and early liquidity sweeps provide the cleanest confirmation for break/retest or sweep/reclaim trades.
Where do I get FXPremiere indices signals?
Use the official FXPremiere site and the official Telegram endpoints. Avoid cloned channels—only the official free trial group and official live chat/support are valid.
Risk Notice
Trading involves risk. This update is educational and informational, structured as a desk note. Always use defined risk and avoid over-leverage.
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