Market Briefing by Charlie: SP500 (September 10, 2026)
Charlie daily briefing for SP500
Bottom line
SP500 currently reads fragile bearish, with regime and model leadership broadly aligned.
- Bias: Bearish
- Confidence: High
- Regime: Trend Dominant
- Main risk: Expanding volatility can reduce robustness quickly.
Opening read
Not really. The data currently tilts more bearish than bullish.
Why I read it that way
- Directional picture: bearish alignment on M5, M15, M30, H1, H4; price is down 0.16% on the sampled window; market state is shifting.
- Market state: Trend Dominant with Shifting stability and Neutral expectancy.
- Population confirmation: n/a is leading, and recent rotation is unclear because the live comparison set is thin.
What would make me less confident
- There is not enough live cluster-landscape data right now.
Interpretation only. No trade advice.
Current data points
- Market state: Trend Dominant, Moderate, Shifting, Neutral expectancy, Expanding volatility
- Top model unavailable
- Latest signal unavailable
- Price context: M1 close 7650.20000, change -12.20000 (-0.16%) over 359 candles
- Nearest levels: support S@7651.00000 (score 14.0), resistance R@7655.30000 (score 12.0)
- Cluster landscape: Cluster landscape is not currently available.
- Recent change: recent rotation is unclear because the live comparison set is thin