From video
Interpreted Prediction
On January 9th, 2025, the Nifty broke its 200-day moving average, indicating a potential shift to a more conservative asset allocation of 50% equity, 25% gold, and 25% cash.
AI Evaluation Notes
The Nifty did break its 200-day moving average on January 9th, 2025. This triggered the predicted shift to a more conservative asset allocation.