CAC 40 Weekly AnalysisWeek of 2026-w35

Close
8,401.18
Change
-0.98%
Trend Strength
bullish
Volatility Regime
low
Breadth Change
Prior Week Outlook Accuracy
No prior week's scenario outlook was provided for comparison.

The index posted a modest weekly gain, though the broader short-term trend remains slightly negative. Momentum is soft and volatility is subdued.

Market Drivers

Trading has been driven by a cautious tone, with investors weighing recent price action against a backdrop of low volatility and mixed momentum.

Trend Interpretation

Price sits below the short-term moving averages but above the long-term average, suggesting a corrective phase within a broader uptrend.

Risk Factors

Key risks include a break below recent swing lows, which could accelerate selling, and a failure to reclaim the short-term averages.

Prior Week Outlook Accuracy

No prior week's scenario outlook was provided for comparison.

Scenarios

Bullish

A bullish scenario would see the index reclaim the short-term averages and push toward recent highs, supported by improving momentum.

Neutral

A neutral scenario involves continued consolidation between the recent swing low and the short-term averages, with no clear directional bias.

Risk

A risk scenario would unfold if the index loses the recent swing low, opening the door to a deeper pullback toward the long-term average.

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