جارٍ الجلب...
الآن
NORMAL
درجة الأزمة2.0/21.0
STOXX50E Realized Vol
13.8
الإشارات
2/9
آمان
سليم
المُبطِلات
0/0
الإجراءات
متابعة المراقبة

What's Happening

1 signalfiring · 2.0/21.0 pts
Other2pts
+2
EU_intel_civil_unrest2.00

الرموز

Euro Stoxx 50↓↓
FEZ
$65.57
2d
-1.8%
5d
-0.7%
1m
-5.0%
3m
0.0%
1y
0.0%
RVol
1.2
EU Banks↓↓
EXV1.DE
$39.11
2d
-2.2%
5d
-4.4%
1m
-6.2%
3m
0.0%
1y
0.0%
RVol
25.7
EU High Yield→
IHYG.L
$88.21
2d
+0.2%
5d
+0.1%
1m
-2.4%
3m
0.0%
1y
0.0%
RVol
0.2
EU Inv Grade↑
IEAC.L
$115.94
2d
+0.1%
5d
+0.3%
1m
-0.4%
3m
0.0%
1y
0.0%
RVol
1.7
Intl Govt Bonds→
IGOV
$39.72
2d
-0.3%
5d
+0.2%
1m
-3.1%
3m
0.0%
1y
0.0%
RVol
18.8
EU Futures↓↓
^STOXX50E
$6126.73
2d
-1.0%
5d
-1.4%
1m
-2.1%
3m
0.0%
1y
0.0%
RVol
1.1
EU Cash→
CSH2.PA
$110.18
2d
0.0%
5d
+0.1%
1m
+0.2%
3m
0.0%
1y
0.0%
RVol
0.7
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Signals

Score: 2.0/21.0|Monitor: 8Trigger: 10Escalate: 12
Triggered (1)
EU_intel_civil_unrest
2.0+2
Checks Passing (1)
-0.7OK
Inactive (7)
-4.4+0
0.1+0
EU_sovereign_stress
0.2+0
0.1+0
-0.7+0
EU_futures_divergence
-0.5+0
13.8+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

EU Credit Deterioration+2 نقطة
European High Yield (EHYG) underperforms Investment Grade (EIGB) — credit stressلماذا يهم: HY underperforming IG indicates EU credit market stress and risk aversion
EU Real Estate Drawdown+2 نقطة
EU Real Estate (EQRE) -10% in 5 days — European property stressلماذا يهم: European real estate stress can cascade through banks and pension funds
EU Credit Drawdown+2 نقطة
EU credit proxy -5% in 5 days — broad credit deteriorationلماذا يهم: Sustained credit drawdown indicates deepening financial stress in Europe
Euro Stoxx 50 Drawdown+2 نقطة
Euro Stoxx 50 (STOXX50E) -5% in 5 days — broad EU equity weaknessلماذا يهم: EU equity weakness confirms stress is affecting broader European market
Euro FX Stress+2 نقطة
EUR/USD move >3% in 3 days — euro volatilityلماذا يهم: Rapid euro moves signal ECB policy concerns or eurozone fragmentation risk
STOXX50E Realized Vol Elevated+1 نقطة
STOXX50E Realized Vol above 25 — elevated EU market fearلماذا يهم: Elevated STOXX50E Realized Vol indicates EU market uncertainty and potential for sharp moves
EU Market Stable+0 نقطة
Euro Stoxx 50 holding above -3% over 5 days — no broad sell-offلماذا يهم: Market stability indicator — if met, stress may be contained to specific sectors
EU Money Market Flight to Safety+4 نقطة
EU Money Market (CSH2.PA) price up + volume ≥2× average — investors hiding in safetyلماذا يهم: Investors hiding in EU money markets = expecting European market stress - core thesis pillar
Euro Banks Drawdown+3 نقطة
Euro Banks Index (SX7E) -8% in 5 days — EU banking stressلماذا يهم: European banks are first to show stress in EU financial system
STOXX50E Realized Vol Velocity Spike+2 نقطة
STOXX50E Realized Vol rising faster than 2%/minute — European panic accelerationلماذا يهم: Rapid European volatility spikes indicate sudden stress in euro markets
EU Banking Velocity Stress+2 نقطة
European banks (SX7E) dropping faster than 1.5%/minute — rapid banking stressلماذا يهم: Sudden EU banking drops indicate systemic euro-area financial stress
EU Credit Velocity Stress+2 نقطة
European High Yield (EHYG) dropping faster than 0.8%/minute — credit stress accelerationلماذا يهم: Rapid euro credit selloffs precede broader European financial stress

الأدوات المتابَعة

STOXX — Euro Stoxx 50 Index ETF
Core eurozone equity benchmark. Drawdowns confirm EU-wide stress beyond banking sector.هدوء 5d > -1% · مراقبة 5d -1% to -3% · ضغط 5d < -3%
SX7E — Euro Stoxx Banks Index
European banks are highly interconnected. Drawdowns signal systemic risk across the eurozone financial system.هدوء 5d > -3% · مراقبة 5d -3% to -8% · ضغط 5d < -8%
EHYG — iShares Euro High Yield Corporate Bond ETF
European high yield credit. Weakness signals rising default expectations in EU corporates.هدوء 5d > -1% · مراقبة 5d -1% to -3% · ضغط 5d < -3%
EIGB — iShares Euro Investment Grade Corporate Bond ETF
EU investment grade bonds. When even IG sells off, it signals broad credit market stress, not just junk.هدوء 5d > -0.5% · مراقبة 5d -0.5% to -2% · ضغط 5d < -2%
CSHT — Amundi EUR Overnight Return UCITS ETF (CSH2.PA)
Short-term EU government bonds — the eurozone equivalent of T-Bills. Inflows signal flight to safety.هدوء Flat, normal volume · مراقبة Price up, volume 1.5× · ضغط Price up, volume ≥2×

أزمات سابقة أصابت هذه المنطقة

  • Global Financial CrisisSep 2008 – Mar 2009

    Lehman Brothers collapse triggered a global banking crisis, credit freeze, and deepest recession since the Great Depression.

    ذروة VIX 80.86 · تراجع S&P 500 -56.8%

  • COVID-19 CrashFeb 2020 – Mar 2020

    Fastest bear market in history. Global lockdowns caused simultaneous supply and demand shocks across all asset classes.

    ذروة VIX 82.69 · تراجع S&P 500 -33.9%

  • European Sovereign Debt CrisisJul 2011 – Nov 2011

    Greek debt restructuring fears spread to Italy and Spain. ECB's 'whatever it takes' eventually contained it.

    ذروة VIX 48 · تراجع S&P 500 -19.4%

نظام مراقبة الأزمات — Europe التفاصيل
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