As of March 25, 2026, ARM (Arm Holdings plc) is in a choppy range state on the monthly chart, with a confidence level of 62%. Key support is at $108 and key resistance at $170. Monthly candle bounced from the recent swing low area (~$105-$110) and reclaimed the rising short-term average (~$127), but price is still below the prior major swing highs (~$170-$180).
Range continuation: price holds above ~$108 and grinds higher toward the mid/upper range, likely stalling first near the prior breakdown/pivot zone.
Failed bounce: rejection under the mid-range (around $145-$150) followed by a rollover back to the lower range support; if that cracks, a deeper retrace follows.
2+ monthly closes above $145
Monthly close below $105
Start near reclaimed fast average/pivot (~$127); add on retest of range floor (~$108-$116); heavy add only on capitulation/major fib retrace zone below the range (~$90-$102).
Trim into upper range resistance (~$170-$180); heavier trims on breakout extension into prior ATH/psych levels (~$195-$210); close if price becomes multi-year stretched above prior highs into $230-$260.
As of March 25, 2026, ARM (Arm Holdings plc) is in a choppy range state on the monthly chart with 62% confidence. Monthly candle bounced from the recent swing low area (~$105-$110) and reclaimed the rising short-term average (~$127), but price is still below the prior major swing highs (~$170-$180).
On the monthly timeframe, ARM has key support at $108 and key resistance at $170. The most likely scenario (bullish) targets $145 and $170, with a revert level at $125.
ARM (Arm Holdings plc) is currently classified as choppy range on the monthly chart, with 62% confidence. Confirmation requires: 2+ monthly closes above $145 This would be invalidated by: Monthly close below $105
The most likely scenario (bullish) targets $145 and $170, with a revert level at $125. The alternative scenario (bearish) targets $110 and $90.0.
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