جارٍ الجلب...
الآن
NORMAL
درجة الأزمة0.0/13.0
FXI Vol
17.7
الإشارات
1/6
آمان
سليم
المُبطِلات
0/0
الإجراءات
متابعة المراقبة

All Clear

No stress signals are firing for this region. All monitored indicators are within normal ranges. Continue routine monitoring.

الرموز

China Large-Cap↓↓
FXI
$33.47
2d
-0.9%
5d
-1.4%
1m
-2.6%
3m
0.0%
1y
0.0%
RVol
1.4
China Banks↑
3988.HK
$6.03
2d
+0.2%
5d
-0.9%
1m
+1.9%
3m
0.0%
1y
0.0%
RVol
1.5
China Bonds→
CBON
$24.21
2d
0.0%
5d
0.0%
1m
+0.4%
3m
0.0%
1y
0.0%
RVol
0.0
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Signals

Score: 0.0/13.0|Monitor: 5Trigger: 7Escalate: 9
Checks Passing (1)
-1.4OK
Inactive (5)
-0.9+0
3.0+0
0.0+0
-1.4+0
17.7+0
Signal Contribution
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كيف تُحسب درجة هذه المنطقة

تضيف كل إشارة أدناه نقاطًا إلى درجة الأزمة في هذه المنطقة ما دام شرطها متحققًا. ويُحوَّل المجموع إلى حالة أزمة وفق العتبات الموضحة أعلاه. تجد القواعد الكاملة في صفحة المنهجية.

تُعرض تعريفات الإشارات والأدوات باللغة الإنجليزية كما وردت في ملفات القواعد.

الإشارات

China Banks Drawdown+3 نقطة
China Large-Cap (FXI) banks component -8% in 5 days — Chinese banking stressلماذا يهم: Chinese bank stocks are first to show stress from property/credit issues in China's financial system
China Property Drawdown+2 نقطة
China Overseas Land (0688.HK) -5% in 5 days — property sector stressلماذا يهم: China's property sector is a key systemic risk; drawdowns signal potential contagion to banks and broader economy
China Credit Stress+2 نقطة
China Bond ETF (CBON) -3% in 3 days — credit market deteriorationلماذا يهم: Chinese credit stress often precedes broader EM contagion and signals tightening financial conditions
China Credit Drawdown+2 نقطة
China credit proxy -5% in 5 days — broad credit deteriorationلماذا يهم: Sustained credit drawdown indicates deepening financial stress in China
China Market Drawdown+2 نقطة
China Large-Cap (FXI) -5% in 5 days — broad Chinese equity weaknessلماذا يهم: Broad equity weakness confirms stress is affecting the wider Chinese market
China FX Stress+2 نقطة
CNY/USD move >3% in 3 days — yuan depreciation pressureلماذا يهم: Rapid yuan weakening signals capital flight and potential PBOC intervention risk
China Volatility Elevated+1 نقطة
China market volatility above 35 — elevated uncertaintyلماذا يهم: Elevated volatility indicates market uncertainty and potential for sharp moves
China Market Stable+0 نقطة
China Large-Cap (FXI) holding above -3% over 5 days — no broad sell-offلماذا يهم: Market stability indicator — if met, stress may be contained to specific sectors
China Market Stable+0 نقطة
China Large-Cap (FXI) holding above -3% over 5 days — no broad sell-offلماذا يهم: Market stability indicator — if met, stress may be contained to specific sectors
China Property Drawdown+2 نقطة
China Overseas Land (0688.HK) -5% in 5 days — property sector stressلماذا يهم: China's property sector is a key systemic risk; drawdowns signal potential contagion

الأدوات المتابَعة

MKT — iShares China Large-Cap ETF (FXI)
Broadest China equity proxy. Tracks the largest Chinese companies listed in Hong Kong.هدوء 5d > -1% · مراقبة 5d -1% to -5% · ضغط 5d < -5%
BANK — Bank of China (3988.HK)
Chinese banks are exposed to property developer debt and local government financing vehicles (LGFVs). First to show systemic stress.هدوء 5d > -3% · مراقبة 5d -3% to -8% · ضغط 5d < -8%
CRD — VanEck China Bond ETF (CBON)
Chinese onshore bond market proxy. Stress here signals tightening financial conditions and potential PBOC intervention.هدوء 5d > -1% · مراقبة 5d -1% to -3% · ضغط 5d < -3%
RE — China Overseas Land & Investment (0688.HK)
China property sector — the single biggest systemic risk. Evergrande, Country Garden, etc. Drawdowns signal potential contagion to banks.هدوء 5d > -3% · مراقبة 5d -3% to -10% · ضغط 5d < -10%
FX — Chinese Yuan (CNY/USD)
Yuan depreciation signals capital flight and potential PBOC intervention. Managed float means moves are policy-significant.هدوء 3d < +0.5% · مراقبة 3d +0.5% to +1.5% · ضغط 3d > +1.5%

أزمات سابقة أصابت هذه المنطقة

  • China Devaluation / EM CrisisAug 2015 – Feb 2016

    PBoC surprised markets with CNY devaluation, triggering global EM selloff and commodity crash. Oil fell below $30.

    ذروة VIX 40.74 · تراجع S&P 500 -14.2%

نظام مراقبة الأزمات — China التفاصيل
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