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Shunya.Trade Options Engine
Europe Market Post-Market Review
Volatility Index — CBOE VIX
17.6% Moderate
DAX 40 (DAX)
Strong Bearish25,423.47
-0.07%
Intraday
Bearish
Daily
Strong Bearish
Weekly
Bearish
Monthly
Bullish
β‘ Smart Money Concepts (SMC) Institutional Map
Premium Zone (12.7% from 50% Eq) Market StructureMSS (Bearish) at 25,914.11
50% Equilibrium Baseline22,554.33
Bullish Order Block (+OB Demand)24,556.78 β 24,724.34
Bearish Order Block (-OB Supply)26,494.61 β 26,618.74
Fair Value Gap (FVG Imbalance)Bullish: 25,099.68 β 25,307.17
Liquidity Pools (EQH / EQL)Buy-Side Sweep (EQH): 24,457.95
SMC Institutional Order Flow Summary
Market structure leans defensive following bearish structural displacement. Recent MSS confirms institutional distribution out of the premium zone. Overhead Order Blocks continue to cap relief bounces, keeping order flow focused on lower demand pools.
Support / Resistance
Support24,651.34
Resistance26,618.74
Moving Averages
21-day SMA25,973.19
50-day SMA25,736.88
100-day SMA25,243.76
200-day SMA24,744.49
Moving Average Trends
No significant recent moving average crosses.
Momentum (RSI)
RSI at 30.9 confirms strong selling momentum, though nearing oversold territory.
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
Lower Highs and Lower Lows (Downtrend Structure)
Fibonacci Retracements
| Level | Price |
|---|---|
| High (0.0%) | 26,618.74 |
| 23.6% | 26,154.43 |
| 38.2% | 25,867.19 |
| 50.0% | 25,635.04 |
| 61.8% | 25,402.89 |
| 78.6% | 25,072.36 |
| Low (100.0%) | 24,651.34 |
Extensions
| Extension | Price |
|---|---|
| Ext 1.13 (Up) | 26,874.50 |
| Ext 1.272 (Up) | 27,153.87 |
| Ext 1.618 (Up) | 27,834.59 |
| Ext 1.13 (Dn) | 24,395.58 |
| Ext 1.272 (Dn) | 24,116.21 |
| Ext 1.618 (Dn) | 23,435.49 |
Trade Setup
Entry
25,423.47
Stop Loss
25,579.54
Take Profit
25,111.34
Risk / Reward
2.0
Strong Sell
Top Options Strategies
Long Put86%
Buy OTM Put
Put Ratio Backspread86%
Sell 1 higher Put + Buy 2 lower Puts
Bear Put Spread83%
Buy Put + Sell lower Put
FTSE 100 (FTSE)
Strong Bearish10,654.36
-0.40%
Intraday
Bearish
Daily
Strong Bearish
Weekly
Bearish
Monthly
Bullish
β‘ Smart Money Concepts (SMC) Institutional Map
Premium Zone (15.0% from 50% Eq) Market StructureMSS (Bearish) at 10,684.40
50% Equilibrium Baseline9,267.15
Bullish Order Block (+OB Demand)10,429.20 β 10,497.60
Bearish Order Block (-OB Supply)10,756.80 β 10,866.80
Fair Value Gap (FVG Imbalance)Bullish: 10,585.90 β 10,610.40
Liquidity Pools (EQH / EQL)Buy-Side Sweep (EQH): 8,392.00
SMC Institutional Order Flow Summary
Market structure leans defensive following bearish structural displacement. Recent MSS confirms institutional distribution out of the premium zone. Overhead Order Blocks continue to cap relief bounces, keeping order flow focused on lower demand pools.
Support / Resistance
Support10,397.50
Resistance10,989.50
Moving Averages
21-day SMA10,767.40
50-day SMA10,738.86
100-day SMA10,567.67
200-day SMA10,392.80
Moving Average Trends
No significant recent moving average crosses.
Momentum (RSI)
RSI at 31.4 confirms strong selling momentum, though nearing oversold territory.
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
Volume trend is balanced, showing no decisive edge for either buyers or sellers.
Chart Pattern / Confluence
Inverted V-Shape / Double Top Formation
Fibonacci Retracements
| Level | Price |
|---|---|
| High (0.0%) | 10,989.50 |
| 23.6% | 10,849.79 |
| 38.2% | 10,763.36 |
| 50.0% | 10,693.50 |
| 61.8% | 10,623.64 |
| 78.6% | 10,524.19 |
| Low (100.0%) | 10,397.50 |
Extensions
| Extension | Price |
|---|---|
| Ext 1.13 (Up) | 11,066.46 |
| Ext 1.272 (Up) | 11,150.52 |
| Ext 1.618 (Up) | 11,355.36 |
| Ext 1.13 (Dn) | 10,320.54 |
| Ext 1.272 (Dn) | 10,236.48 |
| Ext 1.618 (Dn) | 10,031.64 |
Trade Setup
Entry
10,654.36
Stop Loss
10,711.59
Take Profit
10,539.90
Risk / Reward
2.0
Strong Sell
Top Options Strategies
Long Put80%
Buy OTM Put
Put Ratio Backspread80%
Sell 1 higher Put + Buy 2 lower Puts
Bear Put Spread77%
Buy Put + Sell lower Put
CAC 40 (CAC)
Strong Bearish8,098.96
-0.23%
Intraday
Bullish
Daily
Strong Bearish
Weekly
Bearish
Monthly
Bearish
β‘ Smart Money Concepts (SMC) Institutional Map
Premium Zone (4.4% from 50% Eq) Market StructureMSS (Bearish) at 8,235.35
50% Equilibrium Baseline7,759.40
Bullish Order Block (+OB Demand)8,033.04
Bearish Order Block (-OB Supply)8,268.12 β 8,320.05
Fair Value Gap (FVG Imbalance)Bearish: 8,033.04 β 8,207.71
Liquidity Pools (EQH / EQL)Buy-Side Sweep (EQH): 7,935.89
SMC Institutional Order Flow Summary
Market structure leans defensive following bearish structural displacement. Recent MSS confirms institutional distribution out of the premium zone. Overhead Order Blocks continue to cap relief bounces, keeping order flow focused on lower demand pools.
Support / Resistance
Support8,033.04
Resistance8,755.03
Moving Averages
21-day SMA8,323.84
50-day SMA8,419.55
100-day SMA8,324.87
200-day SMA8,240.36
Moving Average Trends
No significant recent moving average crosses.
Momentum (RSI)
RSI is extremely low at 25.5 (Oversold), suggesting selling pressure may have exhausted and a bounce is possible.
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
Lower Highs and Lower Lows (Downtrend Structure)
Fibonacci Retracements
| Level | Price |
|---|---|
| High (0.0%) | 8,755.03 |
| 23.6% | 8,584.64 |
| 38.2% | 8,479.23 |
| 50.0% | 8,394.04 |
| 61.8% | 8,308.84 |
| 78.6% | 8,187.55 |
| Low (100.0%) | 8,033.04 |
Extensions
| Extension | Price |
|---|---|
| Ext 1.13 (Up) | 8,848.89 |
| Ext 1.272 (Up) | 8,951.41 |
| Ext 1.618 (Up) | 9,201.22 |
| Ext 1.13 (Dn) | 7,939.18 |
| Ext 1.272 (Dn) | 7,836.66 |
| Ext 1.618 (Dn) | 7,586.85 |
Trade Setup
Entry
8,098.96
Stop Loss
8,152.48
Take Profit
7,991.92
Risk / Reward
2.0
Strong Sell
Top Options Strategies
Long Put86%
Buy OTM Put
Put Ratio Backspread86%
Sell 1 higher Put + Buy 2 lower Puts
Bear Put Spread83%
Buy Put + Sell lower Put
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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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