@AnkitJainOfficial
YouTube
Avg. Quality
73
Success Rate
48.93
Analysis
562
Correct
275
Fail
282
Pending
4
Ineffective
0
Total Quality
Score
If You Had Traded on This Analysis…
Correct
DJI
Long Entry
49,377.8000
2026-01-22
18:25 UTC
Target
49,380.0000
In 5 Minutes
Fail
49,290.0000
Risk/Reward
1 : 0
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Final PnL
0.00%
P/L: —
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The analysis covers multiple assets including Gold, Silver, Crude Oil, Natural Gas, S&P 500, NASDAQ 100, and Wall Street, primarily utilizing daily chart timeframes. For Gold, a bullish move is anticipated if it breaks above the 4836-4840 range, targeting 4854, 4870, 4888, and potentially 4900. Conversely, a bearish move below 4818 could lead to targets of 4808, 4798-94, and 4782. Silver is expected to be bullish above 9360, targeting 9410, 9450, and up to 9600, while a break below 9300-9280 could see targets at 9240, 9180, and 9100. Crude Oil has a bullish outlook above 60.0, with targets at 60.25, 60.5, and further to 61.5, 62.5. A bearish move below 59.3 could lead to 59.0, 58.8-58.4, and lower. Natural Gas is bullish above 3.9-3.93, targeting 4.0, 4.04, 4.2, and 4.5, but a sell opportunity arises below 3.82, targeting 3.78, 3.72, 3.65, and 3.5. S&P 500 is bullish if it trades above 6920-24, with targets at 6936-40, 6952, 6964, 6980, and 7000. A bearish signal below 6906 targets 6896, 6880, and 6860. NASDAQ 100 is bullish above 25560, aiming for 25600, 25660, 25710-920, and 26000. A drop below 25500 could target 25450, 25400, and 25300. Finally, Wall Street is bullish above 49300, targeting 49380, 49450, 49500, and up to 50000. A bearish move below 49200 could target 49150, 49100, 49000, 48920, and 48800. The analysis emphasizes caution on rallies and suggests potential retracements across several markets before resuming upward or downward trends, indicating a dynamic market environment influenced by various support and resistance levels across different timeframes. The overall market sentiment is generally bullish on indices after recent pullbacks, with commodities showing mixed signals, but specific entry and exit levels are provided for immediate action. The fail bound prices are strategically placed to invalidate the predicted trends, ensuring risk management is considered.