FTSE MIB Weekly AnalysisWeek of 2026-w36

Close
52,100.00
Change
-0.98%
Trend Strength
bullish
Volatility Regime
low
Breadth Change
Prior Week Outlook Accuracy
No prior week scenario data was available for comparison.

The FTSE MIB experienced a modest pullback this week, with a slight negative weekly change. The index remains below its short-term moving averages, indicating a cautious tone.

Market Drivers

The market is being driven by a mix of profit-taking after recent gains and lingering concerns about global growth. Low volatility suggests a lack of strong directional conviction.

Trend Interpretation

The medium-term trend remains bullish as the index holds above its long-term moving average, but the short-term structure has weakened with the price below the 20-day average.

Risk Factors

Key risks include a potential break below the recent swing low, which could signal a deeper correction. Also, the RSI is in neutral territory, leaving room for further downside before oversold conditions.

Prior Week Outlook Accuracy

No prior week scenario data was available for comparison.

Scenarios

Bullish

In a bullish scenario, the index could stabilize and reclaim its short-term moving averages, potentially leading to a retest of the recent highs. A rebound from current levels would confirm the underlying uptrend.

Neutral

A neutral scenario would see the index consolidating within its recent range, with prices oscillating between support and resistance. This would reflect a market awaiting fresh catalysts.

Risk

In a risk scenario, the index could break below its recent swing low, opening the door to a test of the medium-term moving average. This would signal a shift in sentiment and a potential trend reversal.

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