SMI Daily Analysis2026-09-08

Session: ClosingLatest

NY: 09/08/2026, 11:47 AM
Local: ...
Close
14,057.61
Change
-1.55%
1W Change
-1.93%
20D Change
-3.55%
EMA20
14,356.02
EMA50
14,266.39
EMA200
13,575.19
RSI (14)
34.3
ATR (14)
147.43
Volatility (20D)
9.55%
Distance from 20D High
-3.75%
Advancers
Decliners
Volume
0
VIX
15.72
US10Y
4.81%
DXY
98.86

The index closed lower with a notable decline, extending recent weakness. Market sentiment remains cautious amid elevated volatility.

Market Drivers

The move is driven by broad risk-off sentiment, with no clear sector leadership. Declining breadth suggests widespread selling pressure.

Trend Interpretation

Price is trading below both the short-term and medium-term moving averages, indicating a bearish trend structure. Momentum is negative, with the RSI in oversold territory.

Risk Factors

Key risks include further downside if support levels fail, and potential for increased volatility given the current high volatility environment.

Bullish

A bullish scenario would involve a rebound from oversold conditions, with price reclaiming the short-term moving average and momentum turning positive.

Neutral

A neutral scenario sees the index consolidating in a range, with price oscillating around the moving averages as volatility subsides.

Risk

In a risk scenario, continued selling pressure could push the index lower, breaking below key support and accelerating the downtrend.

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