جارٍ الجلب...
الآن
NORMAL
درجة الأزمة0.0/10.0
INDA Vol
13.2
الإشارات
1/5
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

India ETF↓↓
INDA
$45.57
2d
-2.5%
5d
-1.8%
1m
-5.3%
3m
0.0%
1y
0.0%
RVol
1.1
India Banks↑↑
IBN
$27.91
2d
-0.4%
5d
+1.5%
1m
-3.2%
3m
0.0%
1y
0.0%
RVol
1.1
India Tech↓↓
INFY
$10.70
2d
+1.4%
5d
-5.7%
1m
-2.1%
3m
0.0%
1y
0.0%
RVol
2.0
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Signals

Score: 0.0/10.0|Monitor: 5Trigger: 7Escalate: 9
Checks Passing (1)
-1.8OK
Inactive (4)
1.5+0
-5.7+0
-1.8+0
13.2+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

India Banks Drawdown+3 نقطة
Indian banks (IBN, HDB) -8% in 5 days — banking sector stressلماذا يهم: Indian banks are key indicators of domestic financial health and NPA risk
India Credit Stress+2 نقطة
India bond proxy (IGIB) underperforming — credit deteriorationلماذا يهم: Credit stress in India signals tightening financial conditions and potential NPA issues
India Credit Drawdown+2 نقطة
India credit proxy -5% in 5 days — broad credit deteriorationلماذا يهم: Sustained credit drawdown indicates deepening financial stress in India
India Market Drawdown+2 نقطة
India ETF (INDA) -5% in 5 days — broad Indian equity weaknessلماذا يهم: Broad equity weakness confirms stress is affecting the wider Indian market
Rupee FX Stress+2 نقطة
INR/USD move >3% in 3 days — rupee depreciation pressureلماذا يهم: Rapid rupee weakening signals capital outflows and potential RBI intervention
India Volatility Elevated+1 نقطة
India market volatility above 35 — elevated uncertaintyلماذا يهم: Elevated volatility indicates market uncertainty and potential for sharp moves
India Market Stable+0 نقطة
India ETF (INDA) holding above -3% over 5 days — no broad sell-offلماذا يهم: Market stability indicator — if met, stress may be contained to specific sectors
India Real Estate Drawdown+2 نقطة
India REITs -10% in 5 days — property sector stressلماذا يهم: Indian real estate stress signals potential NPA issues in banking sector
India Market Stable+0 نقطة
India ETF (INDA) holding above -3% over 5 days — no broad sell-offلماذا يهم: Market stability indicator — if met, stress may be contained to specific sectors

الأدوات المتابَعة

MKT — iShares MSCI India ETF (INDA)
Broadest India equity proxy. Tracks large and mid-cap Indian companies.هدوء 5d > -1% · مراقبة 5d -1% to -3% · ضغط 5d < -6%
BANK — Indian Banks (ICICI, HDFC)
Indian banks are key indicators of domestic financial health. Exposed to NPA (non-performing asset) risk.هدوء 5d > -3% · مراقبة 5d -3% to -8% · ضغط 5d < -8%
CRD — India Credit / Bond Proxy (IGIB)
Indian credit conditions. Weakness signals tightening financial conditions and potential NPA issues.هدوء 5d > -0.5% · مراقبة 5d -0.5% to -2% · ضغط 5d < -2%
TECH — India IT Sector (Infosys, TCS proxy)
India's IT sector is a major USD earner. Weakness signals global tech spending cuts and potential rupee pressure.هدوء 5d > -2% · مراقبة 5d -2% to -6% · ضغط 5d < -6%
FX — Indian Rupee (INR/USD)
Rupee depreciation signals capital outflows and potential RBI intervention. India's large import bill makes FX moves impactful.هدوء 3d < +0.5% · مراقبة 3d +0.5% to +1.5% · ضغط 3d > +1.5% depreciation

أزمات سابقة أصابت هذه المنطقة

  • Taper TantrumMay 2013 – Sep 2013

    Fed signaled tapering QE. EM currencies and bonds sold off sharply as dollar strengthened.

    ذروة VIX 21.91 · تراجع S&P 500 -5.8%

نظام مراقبة الأزمات — India التفاصيل
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