Nikkei 225 Analisis MingguanMinggu 2026-w33

Penutupan
66.970,22
Perubahan
5,04%
Kekuatan Tren
neutral
Rezim Volatilitas
high
Perubahan Lebar
Akurasi Prospek Minggu Sebelumnya
No prior week's outlook was provided for comparison.

The index posted a solid weekly gain, recovering from a recent pullback, though it remains below its recent high. Volatility is elevated, and momentum is neutral.

Pendorong Pasar

The rebound appears driven by a stabilization in risk appetite, with buyers stepping in near key moving averages. However, the lack of volume data limits confirmation.

Interpretasi Tren

Price is hovering around its short-term and medium-term averages, indicating a neutral trend. The longer-term trend remains upward, but the recent pullback has created a consolidation phase.

Faktor Risiko

High volatility and a negative 20-day change suggest lingering uncertainty. A failure to hold above the moving averages could lead to a retest of the recent swing low.

Akurasi Prospek Minggu Sebelumnya

No prior week's outlook was provided for comparison.

Skenario

Bullish

If the index can break above its recent high, it would signal a resumption of the uptrend, with the longer-term moving average providing strong support.

Netral

The index may continue to oscillate between its recent high and low, with the moving averages acting as a pivot zone. Range-bound trading is likely until a breakout occurs.

Risiko

A break below the recent swing low would negate the bullish structure and could trigger further downside, with the longer-term average as the next support.

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Halaman ini bukan nasihat investasi. Konten di sini hanya untuk tujuan informasi dan analitik. Data mungkin tertunda dan tidak dijamin akurat, lengkap, atau terkini. Kinerja masa lalu tidak menunjukkan hasil masa depan. Selalu lakukan riset sendiri sebelum membuat keputusan investasi apa pun.

Semua data tertunda 15 menit dan diperbarui di setiap awal jam.

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