
ZS Soybean Futures Daily Chart Analysis: 2025-Oct-10 07:22 CT
Price Action
- Last: 1026.09,
- Bars: Medium,
- Mom: Average.
WSFG Weekly
- Short-Term
- WSFG Current: -19%
- F0%/NTZ' Bias: Price Below,
- WSFG Trend: Down.
MSFG Month Oct
- Intermediate-Term
- MSFG Current: 25%
- F0%/NTZ' Bias: Price Above,
- MSFG Trend: Up.
YSFG Year 2025
- Long-Term
- YSFG Current: -1%
- F0%/NTZ' Bias: Price Below,
- YSFG Trend: Down.
Swing Pivots
- (Short-Term) 1. Pvt. Trend: UTrend,
- (Intermediate-Term) 2. HiLo Trend: DTrend,
- 3. Pvt. Evolve: Pvt High 1023.10,
- 4. Pvt. Next: Pvt Low 993.75,
- 5. Levels R: 1055.00, 1052.75, 1047.25, 1023.10,
- 6. Levels S: 993.75, 981.25.
Daily Benchmarks
- (Short-Term) 5 Day: 1011.50 Up Trend,
- (Short-Term) 10 Day: 1015.50 Up Trend,
- (Intermediate-Term) 20 Day: 1026.09 Up Trend,
- (Intermediate-Term) 55 Day: 1030.90 Down Trend,
- (Long-Term) 100 Day: 1039.90 Down Trend,
- (Long-Term) 200 Day: 1047.25 Down Trend.
Additional Metrics
Recent Trade Signals
- 10 Oct 2025: Short ZS 11-25 @ 1013.75 Signals.USAR-WSFG
- 10 Oct 2025: Short ZS 11-25 @ 1017 Signals.USAR.TR120
Overall Rating
- Short-Term: Neutral,
- Intermediate-Term: Neutral,
- Long-Term: Bearish.
Key Insights Summary
Soybean futures are currently in a complex phase, with mixed signals across timeframes. Short-term price action is showing an upward pivot trend, supported by the 5 and 10-day moving averages turning up, and the price sitting above the monthly session fib grid (MSFG) center, indicating some intermediate-term strength. However, the weekly and yearly session fib grids (WSFG and YSFG) both remain in downtrends, and the longer-term moving averages (55, 100, 200-day) are all trending lower, highlighting persistent bearish pressure in the broader context. Swing pivot resistance is clustered above, with the nearest support at 993.75 and 981.25, suggesting a potential for further volatility if these levels are tested. Recent trade signals have triggered short entries, reflecting the prevailing downward bias in the short-term fib grid and trend signals. Volume and volatility metrics are moderate, indicating neither a breakout nor a collapse scenario. Overall, the market is in a transition zone: short-term momentum is attempting a recovery, but intermediate and long-term trends remain under pressure, with the risk of further downside if support levels fail.
Chart Analysis ATS AI Generated: 2025-10-10 07:22 for Informational use only, not trading advice. Terms and Risk Disclosure Copyright © 2025. Algo Trading Systems LLC.