From video
Interpreted Prediction
During market downturns indicated by the Nifty falling below the 200-day moving average, a defensive allocation strategy involves holding 50% equity, 25% gold, and 25% cash.
AI Evaluation Notes
The prediction suggests a defensive strategy when the Nifty falls below its 200-day moving average. While I cannot confirm the exact asset allocation that would have been optimal, news reports indicate that markets experienced volatility during the period, and defensive strategies such as gold and cash would have been advisable to mitigate risks.