
NQ E-mini NASDAQ 100 Futures Weekly Chart Analysis: 2025-Dec-14 18:11 CT
Price Action
- Last: 25000.00,
- Bars: Large,
- Mom: Momentum fast.
WSFG Weekly
- Short-Term
- WSFG Current: -57%
- F0%/NTZ' Bias: Price Below,
- WSFG Trend: Down.
MSFG Month Dec
- Intermediate-Term
- MSFG Current: -2%
- F0%/NTZ' Bias: Price Below,
- MSFG Trend: Down.
YSFG Year 2025
- Long-Term
- YSFG Current: 73%
- F0%/NTZ' Bias: Price Above,
- YSFG Trend: Up.
Swing Pivots
- (Short-Term) 1. Pvt. Trend: UTrend,
- (Intermediate-Term) 2. HiLo Trend: DTrend,
- 3. Pvt. Evolve: Pvt high 26399.00,
- 4. Pvt. Next: Pvt low 23904.50,
- 5. Levels R: 26399.00, 25879.75,
- 6. Levels S: 23904.50, 21113.50, 18014.00, 16034.75, 13149.50.
Weekly Benchmarks
- (Intermediate-Term) 5 Week: 25198.50 Up Trend,
- (Intermediate-Term) 10 Week: 24668.39 Up Trend,
- (Long-Term) 20 Week: 23067.30 Up Trend,
- (Long-Term) 55 Week: 21666.96 Up Trend,
- (Long-Term) 100 Week: 18733.85 Up Trend,
- (Long-Term) 200 Week: 18733.85 Up Trend.
Recent Trade Signals
- 11 Dec 2025: Short NQ 12-25 @ 25510.25 Signals.USAR-WSFG
- 11 Dec 2025: Short NQ 12-25 @ 25550 Signals.USAR.TR120
Overall Rating
- Short-Term: Bearish,
- Intermediate-Term: Bearish,
- Long-Term: Bullish.
Key Insights Summary
The NQ E-mini NASDAQ 100 Futures weekly chart shows a market in transition. Price action is volatile with large bars and fast momentum, indicating heightened activity and potential for sharp moves. Short-term and intermediate-term trends have shifted bearish, as confirmed by the WSFG and MSFG both trending down and price trading below their respective NTZ/F0% levels. This is reinforced by recent short trade signals and a downward swing in the HiLo trend. However, the long-term outlook remains bullish, with the YSFG trend up and price well above the yearly NTZ/F0% level. All major moving averages from 5-week to 200-week are in uptrends, supporting the underlying strength of the broader trend. Key resistance is set at the recent swing high (26399.00), while support levels are layered below, with the next significant pivot low at 23904.50. The market appears to be in a corrective phase within a larger uptrend, with potential for further pullbacks or consolidation before any resumption of the primary bullish trend. This environment is characterized by increased volatility, possible retracements, and tests of support, typical of a market digesting prior gains after a strong rally.
Chart Analysis ATS AI Generated: 2025-12-14 18:11 for Informational use only, not trading advice. Terms and Risk Disclosure Copyright © 2025. Algo Trading Systems LLC.