KOSPI Daily Analysis2026-08-31

Session: ClosingLatest

NY: 08/31/2026, 02:35 AM
Local: ...
Close
6,782.83
Change
-0.09%
1W Change
1.28%
20D Change
2.84%
EMA20
6,736.91
EMA50
6,922.22
EMA200
6,151.70
RSI (14)
50.1
ATR (14)
335.68
Volatility (20D)
49.53%
Distance from 20D High
-6.01%
Advancers
Decliners
Volume
256,786
VIX
14.43
US10Y
4.72%
DXY
99.61

The index closed slightly lower, showing a mild pullback after recent gains. Market breadth was not available, but the overall tone appears cautious.

Market Drivers

The move is driven by a mix of global risk sentiment and domestic factors, with a slight negative bias. The US dollar and Treasury yields are at levels that may influence foreign investor flows.

Trend Interpretation

Price is trading above the 20-day and 200-day moving averages but below the 50-day, indicating a short-term uptrend within a longer-term recovery, though momentum is neutral.

Risk Factors

Key risks include elevated volatility, a potential pullback toward the 20-day average, and external pressures from global yields and currency movements.

Bullish

In a bullish scenario, the index could regain upward momentum, reclaim the 50-day average, and extend gains toward recent highs, supported by improving risk appetite.

Neutral

In a neutral scenario, the index may consolidate within a range, oscillating around the moving averages as investors await clearer directional cues.

Risk

In a risk scenario, a break below the 20-day average could trigger further downside, with the next support likely near the 200-day average, especially if volatility spikes.

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