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Gold Falls On Stronger Dollar As Rate-Cut Bets Trimmed

  •  4 min read
  •  1,012
  • 03 Nov 2025
Gold Falls On Stronger Dollar As Rate-Cut Bets Trimmed

Over the weekend and into Monday morning, the gold market moved from something of a bullish peak into a short-term correction. Earlier this month, gold hit fresh record highs amid elevated safe-haven demand, strong central-bank buying and high odds of U.S. rate cuts.

However, over the past few days, sentiment has shifted. The dollar has strengthened, comments from Fed officials have cooled expectations of imminent easing, and traders are reacting to reduced geopolitical anxiety, all of which have piled pressure on gold.

After such highs and lows, where is gold headed?

Here’s a simplified table capturing recent price changes of spot gold (approximate) plus relevant events and time-interval markers.

Date / Time (GMT) Event or Trigger Approx Spot Gold Price*
Fri 31 Oct
Global gold prices, up over 50% this year, lost momentum as traders awaited clarity on Fed policy and U.S.–China trade talks.
around $3,997.79
Sat 1 Nov (2:20 pm ET)
Post-weekend consolidation; dollar rises begin to bite
US$4,015.88 per ounce
Sun night / Monday a.m.
Fed comments turn slightly hawkish; DXY strengthens
Around $4,001.21
Mon 3 Nov 08:16 a.m. GMT
Spot gold slipped as the dollar strengthened and traders trimmed rate-cut bets
$3,968.76

Note: Intervals based on available public data; not minute-by-minute.

Before the recent pullback, gold enjoyed a considerable rally. The key drivers were:

  1. High expectations of Fed rate cuts: Earlier in October, markets had priced in very strong odds of a further cut by the Fed, which reduces the opportunity cost of holding non-yielding assets like gold.
  2. Weakening dollar / lower yields: A weaker U.S. dollar and falling Treasury yields make gold relatively more attractive for investors.
  3. Geopolitical/trade uncertainty & safe-haven demand: Escalating trade tensions between the U.S. and China, general global instability, and central bank purchases drove demand.
  4. Central bank demand: The institutional buying by central banks helped underpin the rally and gave it structural support.
  • Stronger US Dollar
    The greenback remained firm, hovering near three-month highs, making dollar-priced gold more expensive for overseas buyers, a headwind for bullion.

  • Fed Rate-Cut Outlook Dimmed
    Earlier, markets had priced in very high odds of a December rate cut. However, after recent hawkish remarks by Fed officials, the probability of a rate cut has fallen, reducing one tailwind for gold.

  • Trade/Geopolitical Factors
    While trade tensions between the US and China have eased, this very improvement is reducing the ‘safe-haven’ premium for gold. Meanwhile, other assets are benefiting from risk-on sentiment.

  • As of 5 June 2025, spot silver rose to US$35.82 per ounce, hitting its highest level in more than 13 years.
  • As of 22 August 2025, spot silver was down about 0.4% to US$38.01 per ounce.
  • According to TradingEconomics, silver fell to about US$48.80 per ounce as of 3 November 2025, and is up roughly 50.47% year-on-year.
  • Fed’s December Policy Meeting: The key event for short-term direction is a surprise rate cut, which may re-energise gold.
  • Dollar Strength: The US dollar's sustained gains may put additional pressure on the market gold prices.
  • Global Trade Developments: Any reversal in U.S.–China cooperation could reignite safe-haven demand.
  • ETF Inflows: Renewed accumulation in gold-backed funds would indicate investor confidence returning.

The recent drop in gold reflects an evolving backdrop: a stronger dollar and softer expectations of Fed easing have removed two of the key tailwinds for bullion. While gold is far from broken, it now needs fresh impetus either from policy or geopolitics to regain momentum. For investors, the central question remains whether gold will hold as a legitimate hedge or become sidelined during periods of moderate risk.

The investor's question remains: Can gold retain its strategic hedge value if US rates stay elevated for longer, or will higher yields and a resilient dollar cap further upside potential?

Reference:

The Economic Times
The Business Times
Reuters

This article is for informational purposes only and does not constitute financial advice. It is not produced by the desk of the Kotak Securities Research Team, nor is it a report published by the Kotak Securities Research Team. The information presented is compiled from several secondary sources available on the internet and may change over time. Investors should conduct their own research and consult with financial professionals before making any investment decisions. Read the full disclaimer here.

Investments in securities market are subject to market risks, read all the related documents carefully before investing. Brokerage will not exceed SEBI prescribed limit. The securities are quoted as an example and not as a recommendation. SEBI Registration No-INZ000200137 Member Id NSE-08081; BSE-673; MSE-1024, MCX-56285, NCDEX-1262.

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