FTSE MIB Daily Analysis2026-09-10

Session: ClosingLatest

NY: 09/10/2026, 11:52 AM
Local: ...
Close
51,807.40
Change
-0.13%
1W Change
-0.84%
20D Change
-3.51%
EMA20
52,364.03
EMA50
52,215.61
EMA200
49,068.31
RSI (14)
40.1
ATR (14)
517.40
Volatility (20D)
9.13%
Distance from 20D High
-3.86%
Advancers
Decliners
Volume
0
VIX
17.84
US10Y
4.94%
DXY
99.10

The FTSE MIB closed slightly lower, extending a mild weekly and monthly decline, with momentum leaning bearish as the index trades below its short- and medium-term moving averages.

Market Drivers

The move reflects a cautious risk tone, with global equity sentiment pressured by elevated bond yields and a firm dollar, while volatility remains moderate.

Trend Interpretation

The index is below its short- and medium-term moving averages but still well above its long-term average, indicating a corrective phase within a broader uptrend; momentum is weak.

Risk Factors

Key risks include a sustained rise in bond yields, a stronger dollar, and a break below the long-term moving average, which could accelerate selling pressure.

Bullish

In a bullish scenario, the index stabilizes above the long-term moving average and reclaims the short-term averages, signaling a resumption of the broader uptrend.

Neutral

In a neutral scenario, the index oscillates in a range, consolidating recent losses while awaiting clearer directional catalysts.

Risk

In a risk scenario, the index breaks below the long-term moving average, with momentum turning more negative and volatility expanding.

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