GFI (Gold Fields Ltd) Technical Analysis

GFI Technical Analysis leverages historical price and volume data to provide real-time indicator values and signals, including RSI, MACD, Bollinger Bands, and volume, to reflect market momentum, volatility ranges, and price-volume dynamics. It also integrates market sentiment metrics such as the VIX volatility index, Advance-Decline ratio (A/D ratio), and Put/Call options ratio for broader market context. Multi-timeframe views span from minute intervals to daily, weekly, and monthly charts, making it easy to track indicator behavior across periods. Key support and resistance levels are displayed alongside current prices, calculated via pivots, Fibonacci retracements, and historical extremes to offer an immediate overview of market structure.
GFI
GFI

Gold Fields Ltd

$33.99+1.67%
Today's High$35.20
Today's Low$33.84
Today's Open$33.97
Yesterday's Close$33.43

GFI (Gold Fields Ltd) Technical Analysis Overview

AI CreationAs of June 30, 2026, Gold Fields Ltd (GFI) is showing pronounced downward pressure with a bearish technical structure. The MACD level at negative 1.9617 carries a Sell signal, while the RSI(14) reading of 38.9538 places the stock in the weak zone, confirming that selling pressure persists in the near term. The moving average system exhibits a decisive bearish alignment, with EMA10 at 34.4813, EMA20 at 35.9696, EMA50 at 39.3352, SMA20 at 35.9815, and SMA200 at 44.217 all generating Sell signals and reinforcing downside bias across all timeframes. The ADX(14) value of 20.9729 signals a moderately weak trend environment, suggesting continued oscillation rather than a sharp directional break. Overall, **GFI technical analysis** reflects a near-term outlook constrained by bearish moving average alignment and weak RSI readings, though limited directional conviction may allow for tactical bounces within the broader downtrend.

Oscillators

Strong Sell
Strong Buy
Neutral
1
Sell
9
Neutral
1
Buy

Summary

Strong Sell
Strong Buy
Sell
14
Sell
10
Neutral
2
Buy

Moving Averages

Strong Sell
Strong Buy
Strong Sell
13
Sell
1
Neutral
1
Buy

GFI (Gold Fields Ltd) Live Candlestick Chart

GFI (Gold Fields Ltd) Multi-Timeframe Technical Rating

Summary1H4H1D1W
Moving Averages (15)86311113410
Oscillators (11)NeutralNeutralNeutralBuy
RSI (14)55.144.941.039.3
MACD (12,26)Golden CrossDeath CrossDeath CrossDeath Cross

GFI (Gold Fields Ltd) Technical Indicator Interpretation

Based on 1-day closing price series

Oscillators

NameValueOperation
RSI(14)
41.065Neutral
Stochastic %K (14, 3, 3)
23.4711Neutral
Commodity Channel Index (CCI) (20)
-43.6355Neutral
Average Directional Index (ADX) (14)
20.211Neutral
Awesome Oscillator (AO)
-4.1379Neutral
Momentum Indicator (10)
-5.505Buy
MACD Level (12, 26)
-1.8703Sell
Stochastic RSI Fast (3, 3, 14, 14)
43.5974Neutral
Williams Percent Range (%R) (14)
-72.0262Neutral
Bull Bear Power (BBP)
-0.505Neutral
Ultimate Oscillator (UO) (7, 14, 28)
41.4028Neutral

Moving Averages

NameValueOperation
EMA (10)
34.4165Sell
SMA (10)
34.4995Sell
EMA (20)
35.7939Sell
SMA (20)
35.7597Sell
EMA (30)
37.056Sell
SMA (30)
37.0665Sell
EMA (50)
39.1309Sell
SMA (50)
39.7563Sell
EMA (100)
41.6849Sell
SMA (100)
44.6776Sell
EMA (200)
40.7951Sell
SMA (200)
44.1996Sell
Ichimoku Kinko Hyo Base Line (9, 26, 52, 26)
36.355Neutral
Volume-Weighted Moving Average (VWMA) (20)
35.6637Sell
Hull Moving Average (HMA) (9)
33.4063Buy

GFI (Gold Fields Ltd) Pivot Points

Based on 1-day timeframe

PriceClassicFibonacciCamarillaWoodieDM
R355.243345.323336.31848.915-
R245.323341.533935.408745.0925-
R139.456739.192834.499338.99537.43
Pivot P35.403335.403335.403335.172534.39
S129.536731.613932.680729.07527.51
S225.483329.272831.771325.2525-
S315.563325.483330.86219.155-

GFI (Gold Fields Ltd) Market Sentiment Index

Analyst Rating56.7812
Options Put/Call Ratio+109.04%
Implied Volatility (IV)47.1141

GFI (Gold Fields Ltd) Deep Technical Analysis

As of June 30, 2026, Gold Fields Ltd (GFI) is exhibiting a bearish technical structure. The MACD level at negative 1.9617 carries a Sell signal on the daily chart, confirming downside momentum, while the RSI(14) at 38.9538 places the stock in the weak zone (30–45 range), indicating that selling pressure remains elevated and downside momentum has not yet been fully arrested. This **GFI technical analysis** demonstrates consistent bearish pressure across momentum indicators. ADX(14) at 20.9729 signals a moderately weak trend environment, indicating that directional conviction remains limited and the market may sustain oscillatory behavior rather than a clean directional thrust. The Commodity Channel Index (20) at negative 74.3664 reinforces neutral sentiment, while Momentum(10) at negative 6 carries a Sell signal, creating alignment with the prevailing bearish setup and confirming that downside pressure persists without meaningful moderation. The moving average system presents a decidedly bearish structure across all timeframes. EMA10 at 34.4813 remains below EMA20 at 35.9696, confirming a short-term downtrend, while EMA50 at 39.3352 and SMA200 at 44.217 sit well above current price action, establishing medium-term and long-term resistance zones. All moving averages in the core set generate Sell signals, and the GFI market analysis remains shaped by a consistent bearish alignment that reinforces downside bias across short, medium, and long-term perspectives. In terms of key levels, the Fibonacci retracement framework identifies support at 38.3729 (S1) and 36.2371 (S2), with the pivot point at 41.83 acting as near-term resistance. The recent daily trading range (high 33.91, low 33.04) positions the stock near the lower portion of its technical structure, and the Camarilla pivot points place immediate support at 39.0304 (S1) and resistance at 40.6896 (R1). The GFI price forecast remains vulnerable to further downside exploration toward the secondary support cluster around 36.24–36.37. On the market breadth front, the analyst rating stands at 56.7812, suggesting a moderately positive view from the professional community despite the bearish technicals. The implied volatility at 46.0005 reflects elevated uncertainty, while the Put/Call ratio at 9.72 indicates a bias toward put buying, signaling heightened hedging demand and defensive positioning. These sentiment metrics suggest that while technicians see downside risk, market participants are positioning for potential volatility, creating a mixed but cautious overall near-term GFI price prediction.

FAQ

What is the current technical rating for GFI?

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On the 4H timeframe, the aggregate technical rating for GFI is Sell. This rating is dynamically aggregated from moving averages and momentum oscillators to reflect the prevailing trend direction and price velocity.

Where are the key support and resistance levels for GFI?

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What are the current RSI and MACD signals for GFI?

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How often is the GFI technical analysis data updated?

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