Dow Jones Daily Analysis — 2026-08-11
Session: ClosingLatest
- Close
- 53,791.85
- Change
- -0.34%
- 1W Change
- -0.54%
- 20D Change
- 2.45%
- EMA20
- 53,050.58
- EMA50
- 52,140.89
- EMA200
- 49,544.90
- RSI (14)
- 60.6
- ATR (14)
- 596.59
- Volatility (20D)
- 14.61%
- Distance from 20D High
- -1.74%
- Advancers
- 4
- Decliners
- 6
- Volume
- 378,687,902
- VIX
- 15.32
- US10Y
- 4.68%
- DXY
- 99.81
Sector Leaders
The Dow Jones closed slightly lower, showing a mild pullback after recent gains. Market breadth was negative, with more decliners than advancers.
Market Drivers
The move was driven by profit-taking in some sectors, while energy and utilities provided support. Overall sentiment remains cautious amid mixed sector performance.
Trend Interpretation
The index remains above its key moving averages, indicating a longer-term uptrend. Short-term momentum has cooled, with the RSI in neutral territory.
Risk Factors
Key risks include a potential rise in volatility and a further deterioration in market breadth. Also, watch for any unexpected moves in bond yields or the dollar.
Bullish
In a bullish scenario, the index could resume its uptrend if buying interest returns and breadth improves. A break above recent highs would signal renewed strength.
Neutral
In a neutral scenario, the index may consolidate within a range, with alternating sessions of gains and losses. Volatility could remain moderate.
Risk
In a risk scenario, a continued decline could lead to a deeper correction, especially if the index falls below its short-term moving averages. Increased volatility would be a warning sign.
Session: Midday
- Close
- 53,879.69
- Change
- -0.18%
- 1W Change
- -0.38%
- 20D Change
- 2.61%
- EMA20
- 53,058.95
- EMA50
- 52,144.33
- EMA200
- 49,545.78
- RSI (14)
- 61.7
- ATR (14)
- 587.20
- Volatility (20D)
- 14.55%
- Distance from 20D High
- -1.58%
- Advancers
- 4
- Decliners
- 7
- Volume
- 168,143,442
- VIX
- 15.44
- US10Y
- 4.68%
- DXY
- 99.82
Sector Leaders
The Dow Jones is trading slightly lower in midday action, showing a mild pullback after recent gains. Market breadth is negative, with decliners outpacing advancers.
Market Drivers
The move is driven by a cautious tone in the broader market, with some sectors like energy showing strength while others lag. The slight decline suggests profit-taking after a recent uptrend.
Trend Interpretation
The index remains above its key moving averages, indicating a longer-term uptrend. However, short-term momentum appears to be cooling, as the price is slightly off its recent high.
Risk Factors
Key risks include a potential rise in volatility, as indicated by the VIX, and a negative breadth reading. Also, the recent decline in the dollar could impact multinational companies.
Bullish
In a bullish scenario, the index could resume its uptrend if buying interest returns and breadth improves. A hold above the moving averages would support further upside.
Neutral
In a neutral scenario, the index may consolidate within a range, with mixed sector performance and no clear directional bias. Volatility could remain moderate.
Risk
In a risk scenario, a break below key support levels could trigger further selling, especially if volatility spikes and breadth deteriorates further.
