S&P 500
NeutralArchived analysis from Sep 24, 2026, 8:27 PM
Key insight
7,700 capping upside; break above opens 7,850 (Aug 2026 swing high). Failure below 7,580 (50-day MA) shifts bias bearish into Q4.
7,696 holds above the 50-day MA near 7,580 but stalls below the round 7,700 level — flat -0.09% print signals consolidation after an extended run.
Main risk
Oil at $94.9 — cost-push inflation risk
94.9 Brent pressures margins and revives inflation fears, threatening Fed's pause at 4.75% and compressing equity multiples.
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