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
To evaluate the prediction, it's necessary to determine if the Nifty fell below its 200-day moving average since 2025-09-20 and to assess the performance of the suggested portfolio allocation (50% equity, 25% gold, 25% cash) during that period, which requires extensive financial data analysis. Without performing the analysis, I cannot rate the prediction's accuracy.