Dow Jones Analisis Harian — 2026-08-10
Sesi: Penutupan
- Penutupan
- 53.975,98
- Perubahan
- -0,11%
- Perubahan 1 Minggu
- 1,50%
- Perubahan 20 Hari
- 2,81%
- EMA20
- 52.972,55
- EMA50
- 52.073,50
- EMA200
- 49.486,51
- RSI (14)
- 63,0
- ATR (14)
- 605,84
- Volatilitas (20H)
- 14,51%
- Jarak dari Tertinggi 20 Hari
- -1,40%
- Penaik
- 5
- Penurun
- 6
- Volume
- 413.895.987
- VIX
- 15,46
- US10Y
- 4,70%
- DXY
- 99,81
Pemimpin Sektor
The index closed slightly lower, showing a mild pullback after a period of gains. Market breadth was mixed, with a slight majority of decliners.
Pendorong Pasar
Energy and healthcare sectors led gains, while some technology-related names experienced sharp declines. Overall, the move was driven by sector rotation rather than a broad market shift.
Interpretasi Tren
The index remains above its key moving averages, indicating a longer-term uptrend. Short-term momentum has cooled, with the RSI in neutral territory, suggesting consolidation.
Faktor Risiko
Key risks include a potential rise in volatility, as indicated by the VIX, and a mixed market breadth that could signal weakening participation. Also, watch for any adverse moves in bond yields or the dollar.
Bullish
In a bullish scenario, the index could resume its uptrend if buying interest returns, especially in leading sectors. A continued advance above recent highs would confirm strength.
Netral
In a neutral scenario, the index may trade sideways, digesting recent gains while awaiting new catalysts. Range-bound action with alternating sector leadership is likely.
Risiko
In a risk scenario, a break below key support levels could trigger further selling, especially if volatility spikes and market breadth deteriorates further.
Sesi: Pra-pasar
- Penutupan
- 54.036,93
- Perubahan
- 0,28%
- Perubahan 1 Minggu
- 2,96%
- Perubahan 20 Hari
- 2,66%
- EMA20
- 52.866,93
- EMA50
- 51.995,86
- EMA200
- 49.471,01
- RSI (14)
- 63,7
- ATR (14)
- 635,33
- Volatilitas (20H)
- 14,55%
- Jarak dari Tertinggi 20 Hari
- -1,29%
- Penaik
- 9
- Penurun
- 2
- Volume
- 378.680.000
- VIX
- 15,42
- US10Y
- 4,67%
- DXY
- 99,76
Pemimpin Sektor
The index is showing a modest premarket uptick, supported by broad-based gains across several key sectors.
Pendorong Pasar
Positive momentum is driven by strength in consumer discretionary, technology, and materials sectors, with a majority of components advancing.
Interpretasi Tren
The index remains above its key moving averages, indicating a sustained uptrend, with momentum indicators pointing to continued bullishness.
Faktor Risiko
Elevated volatility and a narrow breadth of leadership could pose risks, along with a slight pullback from recent highs.
Bullish
If the current momentum persists and sector leadership broadens, the index could extend its gains and test new highs.
Netral
The index may consolidate within a range, with alternating sessions of gains and losses as investors digest recent moves.
Risiko
A deterioration in market breadth or a spike in volatility could trigger a pullback toward support levels.
Sesi: Tengah Hari
- Penutupan
- 53.975,98
- Perubahan
- -0,11%
- Perubahan 1 Minggu
- 1,50%
- Perubahan 20 Hari
- 2,81%
- EMA20
- 52.972,55
- EMA50
- 52.073,50
- EMA200
- 49.486,51
- RSI (14)
- 63,0
- ATR (14)
- 605,84
- Volatilitas (20H)
- 14,51%
- Jarak dari Tertinggi 20 Hari
- -1,40%
- Penaik
- 5
- Penurun
- 6
- Volume
- 410.911.432
- VIX
- 15,42
- US10Y
- 4,70%
- DXY
- 99,81
Pemimpin Sektor
The Dow Jones is trading slightly lower at midday, showing a mild pullback after a period of gains. Market breadth is mixed, with a slight majority of decliners.
Pendorong Pasar
The move is driven by sector rotation, with energy and healthcare leading while other sectors lag. Overall sentiment remains cautious amid moderate volatility.
Interpretasi Tren
The index remains above its key moving averages, indicating a longer-term uptrend. Short-term momentum is slightly negative but not alarming.
Faktor Risiko
Key risks include a potential rise in volatility and a narrowing of market breadth. A sustained decline could signal a deeper correction.
Bullish
In a bullish scenario, the index could resume its upward trajectory, supported by strong sectors and a healthy pullback. Momentum would likely turn positive again.
Netral
In a neutral scenario, the index may consolidate within a range, with alternating gains and losses. Volatility could remain moderate.
Risiko
In a risk scenario, the index could break below its moving averages, leading to a more significant correction. Weak breadth and rising volatility would confirm this.
