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Shunya.Trade Options Engine
Europe Market Pre-Market Analysis
Volatility Index — CBOE VIX
18.7% Moderate
DAX 40 (DAX)
Strong Bullish25,361
+2.41%
Intraday
Bearish
Daily
Strong Bullish
Weekly
Bullish
Monthly
Bullish
RSI (42.1)Neutral
OVERSOLDNEUTRALOVERBOUGHT
Analyst Summary
Trading above the 20-day SMA (25,127), the asset maintains its bullish price structure — dip-buying remains the high-probability play. With RSI at 42, the path of least resistance remains to the downside until buyers can reclaim the neutral zone. MACD histogram negative and deepening — the momentum profile reinforces the short-side thesis. Across the full 31-strategy universe, Long Call captures the highest score at 85%. Alignment across trend, momentum, and vol regime drives the ranking.
Support / Resistance
Support23,797
Resistance25,900
Moving Averages
21-day SMA25,105
50-day SMA24,947
100-day SMA24,339
200-day SMA24,370
Moving Average Trends
No significant recent moving average crosses.
Momentum (RSI)
RSI at 42.1 is well within the neutral zone, showing balanced momentum without extreme conditions.
MACD Analysis
MACD histogram is negative and expanding, indicating sellers hold a strong momentum advantage.
Bollinger Bands
Price is trading comfortably within the Bollinger Bands, representing normal historical volatility levels.
Volume Analysis
Volume trend is balanced, showing no decisive edge for either buyers or sellers.
Chart Pattern / Confluence
Higher Highs and Higher Lows (Uptrend Structure)
Fibonacci Retracements
| Level | Price |
|---|---|
| High (0.0%) | 25,900 |
| 23.6% | 25,404 |
| 38.2% | 25,097 |
| 50.0% | 24,849 |
| 61.8% | 24,601 |
| 78.6% | 24,247 |
| Low (100.0%) | 23,797 |
Extensions
| Extension | Price |
|---|---|
| Ext 1.13 (Up) | 26,173 |
| Ext 1.272 (Up) | 26,472 |
| Ext 1.618 (Up) | 27,200 |
| Ext 1.13 (Dn) | 23,524 |
| Ext 1.272 (Dn) | 23,225 |
| Ext 1.618 (Dn) | 22,498 |
Trade Setup
Entry
25,361
Stop Loss
25,151
Take Profit
25,780
Risk / Reward
2.0
Strong Buy
Top Options Strategies
Long Call85%
Buy OTM Call
Call Ratio Backspread85%
Sell 1 lower Call + Buy 2 higher Calls
Bull Call Spread82%
Buy Call + Sell higher Call
FTSE 100 (FTSE)
Strong Bullish10,782
+1.34%
Intraday
Bearish
Daily
Strong Bullish
Weekly
Bullish
Monthly
Bullish
RSI (57.6)Neutral
OVERSOLDNEUTRALOVERBOUGHT
Analyst Summary
Price holds above the 20-day moving average at 10,577, preserving the near-term bullish structure. Momentum holds constructive at 58 — firmly in bullish territory with room to run before the tape gets stretched. MACD histogram remains in positive territory, underpinning the current directional move. Volume surges to 1.6x the 20-day mean — the tape is moving with purpose and broad participation.
Support / Resistance
Support10,128
Resistance10,821
Moving Averages
21-day SMA10,573
50-day SMA10,470
100-day SMA10,405
200-day SMA10,180
Moving Average Trends
No significant recent moving average crosses.
Momentum (RSI)
RSI at 57.6 is well within the neutral zone, showing balanced momentum without extreme conditions.
MACD Analysis
MACD is expanding positively, highlighting that buyers are firmly in control of momentum.
Bollinger Bands
Price has broken above the upper Bollinger Band, indicating strong upward strength but risk of reversion.
Volume Analysis
Recent volume is noticeably higher on up-days, signaling strong underlying buyer accumulation.
Chart Pattern / Confluence
Higher Highs and Higher Lows (Uptrend Structure)
Fibonacci Retracements
| Level | Price |
|---|---|
| High (0.0%) | 10,821 |
| 23.6% | 10,657 |
| 38.2% | 10,556 |
| 50.0% | 10,474 |
| 61.8% | 10,392 |
| 78.6% | 10,276 |
| Low (100.0%) | 10,128 |
Extensions
| Extension | Price |
|---|---|
| Ext 1.13 (Up) | 10,911 |
| Ext 1.272 (Up) | 11,009 |
| Ext 1.618 (Up) | 11,249 |
| Ext 1.13 (Dn) | 10,037 |
| Ext 1.272 (Dn) | 9,939 |
| Ext 1.618 (Dn) | 9,699 |
Trade Setup
Entry
10,782
Stop Loss
10,710
Take Profit
10,926
Risk / Reward
2.0
Strong Buy
Top Options Strategies
Long Call87%
Buy OTM Call
Call Ratio Backspread87%
Sell 1 lower Call + Buy 2 higher Calls
Bull Call Spread84%
Buy Call + Sell higher Call
CAC 40 (CAC)
Strong Bullish8,406
+1.29%
Intraday
Bearish
Daily
Strong Bullish
Weekly
Bullish
Monthly
Bullish
RSI (45.0)Neutral
OVERSOLDNEUTRALOVERBOUGHT
Analyst Summary
The short-term moving average at 8,380 holds as support, keeping the 20-day trend channel intact for now. The 45 RSI keeps the momentum profile in bear territory. Rallies are selling opportunities until the 50-line is recaptured. The convergence-divergence oscillator is in bearish mode. Histogram expansion below zero signals sustained selling pressure. The model's top pick is Long Call (76%) — the optimal structure given current trend, momentum, and volatility readings.
Support / Resistance
Support7,854
Resistance8,561
Moving Averages
21-day SMA8,380
50-day SMA8,302
100-day SMA8,174
200-day SMA8,177
Moving Average Trends
No significant recent moving average crosses.
Momentum (RSI)
RSI at 45.0 is well within the neutral zone, showing balanced momentum without extreme conditions.
MACD Analysis
MACD histogram is negative and expanding, indicating sellers hold a strong momentum advantage.
Bollinger Bands
Bollinger Bands are tightly squeezed, warning of an imminent explosive directional price move.
Volume Analysis
Recent volume is noticeably higher on up-days, signaling strong underlying buyer accumulation.
Chart Pattern / Confluence
V-Shape Recovery / Double Bottom Formation
Fibonacci Retracements
| Level | Price |
|---|---|
| High (0.0%) | 8,561 |
| 23.6% | 8,394 |
| 38.2% | 8,291 |
| 50.0% | 8,208 |
| 61.8% | 8,124 |
| 78.6% | 8,006 |
| Low (100.0%) | 7,854 |
Extensions
| Extension | Price |
|---|---|
| Ext 1.13 (Up) | 8,653 |
| Ext 1.272 (Up) | 8,754 |
| Ext 1.618 (Up) | 8,998 |
| Ext 1.13 (Dn) | 7,762 |
| Ext 1.272 (Dn) | 7,662 |
| Ext 1.618 (Dn) | 7,417 |
Trade Setup
Entry
8,406
Stop Loss
8,342
Take Profit
8,534
Risk / Reward
2.0
Strong Buy
Top Options Strategies
Long Call76%
Buy OTM Call
Call Ratio Backspread76%
Sell 1 lower Call + Buy 2 higher Calls
Bull Call Spread73%
Buy Call + Sell higher Call
Market Search Previews
Key Takeaway
Analyze ECB forward guidance and Euro Stoxx 50 implied correlation for sector rotation cues within the Eurex derivatives complex.
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