Early stress indicators are firing. Historically, about 40% of MONITOR episodes escalate to PHASE 1, while the rest resolve within days.
Bank stocks weakening can precede broader credit tightening. Watch interbank lending rates and CDS spreads.
Options markets pricing higher uncertainty. Hedging costs increasing. Gamma exposure shifting.
Past MONITOR episodes: ~60% resolved without escalation. The ones that escalated typically showed credit and banking stress simultaneously.
2-7 days
UK banks (BARC, LLOY) -8% in 5 days — UK banking sector stress
UK banks are highly leveraged to property and credit markets; drawdowns signal systemic risk
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.
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%
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%