First seen15 Sept, 00:15
Market Outlook — ASX200 / AUS200 Structure
Team,
Over the past week, ASX200/AUS200 has been consolidating around the 8,712–8,692 region.
For educational purposes, this area is often studied as a zone where markets pause, rebalance liquidity, or prepare for the next phase of movement.
Macro Events This Week (Educational Only)
This Thursday and Friday carry several major rate decisions that typically increase short‑term volatility:
United States — Rate Decision
The US announcement on 15–16 September often influences global risk sentiment.
Analysts currently discuss the possibility of a 25‑basis‑point adjustment, based on recent inflation data.
This is not a prediction — simply an observation of prevailing expectations.
UK100 / FTSE100 — Rate Decision
The UK decision falls on the same day as the US, which can create synchronized volatility across multiple indices.
Market Behaviour During Rate Weeks
During major policy announcements, markets often:
sweep liquidity
September to October
Historically, September–October can behave as a correction + consolidation window, depending on global policy outcomes and liquidity conditions.
After major rate decisions, some analysts study the period around 21 September for potential shifts in market behaviour.
This is not a forecast — simply a reference point used in macro analysis.
Toward late October, markets often continue consolidating as global data and policy guidance evolve.
expand volatility
test previously observed regions
consolidate before the next macro phase
These behaviours are part of normal market structure.
Disclaimer
This post is for education and market understanding only.
It is not a signal, not a recommendation, and not financial advice.
Always manage your own risk and make your own decisions.
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