جارٍ الجلب...
الآن
NORMAL
درجة الأزمة7.0/34.0
VIX
15.4
الإشارات
4/15
آمان
سليم
المُبطِلات
0/0
الإجراءات
متابعة المراقبة

What's Happening

3 signalsfiring · 7.0/34.0 pts
1 point away from escalating to MONITOR. Key driver: US_vix_term_inversion in Other.
Other7pts
+3
US_vix_term_inversion3.20
+2
US_intel_crisis_themes2.00
+2
US_intel_civil_unrest2.00

الرموز

S&P 500↑
SPY
$774.30
2d
-0.7%
5d
+1.3%
1m
+2.1%
3m
0.0%
1y
0.0%
RVol
1.0
Regional Banks↓
KRE
$69.63
2d
-0.6%
5d
-0.5%
1m
-5.7%
3m
0.0%
1y
0.0%
RVol
1.2
High Yield→
HYG
$77.15
2d
-0.2%
5d
+0.3%
1m
-1.9%
3m
0.0%
1y
0.0%
RVol
0.8
Sr. Loans→
SRLN
$40.20
2d
-0.2%
5d
0.0%
1m
-0.7%
3m
0.0%
1y
0.0%
RVol
0.4
T-Bills→
BIL
$91.47
2d
+0.0%
5d
+0.1%
1m
0.0%
3m
0.0%
1y
0.0%
RVol
1.2
S&P Futures↑
ES=F
$7831.00
2d
-0.5%
5d
+1.4%
1m
+3.1%
3m
0.0%
1y
0.0%
RVol
0.0
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Signals

Score: 7.0/34.0|Monitor: 8Trigger: 10Escalate: 12
Triggered (3)
US_vix_term_inversion
3.2+3
US_intel_crisis_themes
2.0+2
US_intel_civil_unrest
2.0+2
Checks Passing (1)
1.3OK
Inactive (11)
-0.5+0
US_credit_hy_drawdown
0.3+0
US_tech_saas_severe
1.3+0
US_tech_saas_weak
1.3+0
US_bdc_stress
-2.0+0
US_credit_loan_stress
0.0+0
0.1+0
US_funding_stress
0.0+0
1.3+0
US_futures_divergence
0.4+0
15.4+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

US Banks Drawdown+3 نقطة
US Regional Banks (KRE) -8% in 5 days — banking sector stressلماذا يهم: Regional banks are first to show stress in financial system issues
US Real Estate Drawdown+2 نقطة
Office REITs (VNO, SLG, BXP) -5% in 5 days — commercial real estate stressلماذا يهم: Office REITs are canaries in coal mine for credit/liquidity issues
US Credit Stress+2 نقطة
Senior Loans (SRLN) underperform High Yield (HYG) — credit quality deteriorationلماذا يهم: Senior loans should be safer than HY bonds. Underperformance signals credit stress
US Credit Drawdown+2 نقطة
US credit proxy -5% in 5 days — broad credit deteriorationلماذا يهم: Sustained credit drawdown indicates deepening financial stress in the US
S&P 500 Drawdown+2 نقطة
S&P 500 (SPY) -5% in 5 days — broad market weaknessلماذا يهم: Equity weakness confirms stress is affecting broader market
US Dollar Stress+2 نقطة
USD index move >3% in 3 days — dollar volatilityلماذا يهم: Rapid dollar moves signal global risk-off or flight to safety dynamics
VIX Elevated+1 نقطة
VIX above 25 — elevated market fearلماذا يهم: Elevated VIX indicates market uncertainty and potential for sharp moves
US Market Stable+0 نقطة
S&P 500 (SPY) holding above -3% over 5 days — no broad sell-offلماذا يهم: Market stability indicator — if met, stress may be contained to specific sectors
T-Bill Flight to Safety+4 نقطة
T-Bills (BIL) price up + volume ≥2× average — investors hiding in safetyلماذا يهم: Investors hiding in T-Bills = expecting market stress - core thesis pillar
VIX Velocity Spike+2 نقطة
VIX rising faster than 2%/minute — panic accelerationلماذا يهم: Rapid VIX acceleration indicates sudden fear spike even before absolute thresholds hit
Banking Velocity Stress+2 نقطة
Regional banks (KRE) dropping faster than 1.5%/minute — rapid banking stressلماذا يهم: Sudden banking sector drops indicate liquidity or confidence crisis developing
Credit Velocity Stress+2 نقطة
High Yield (HYG) dropping faster than 0.8%/minute — credit spread widening accelerationلماذا يهم: Rapid credit selloffs signal flight to quality before spreads hit critical levels

الأدوات المتابَعة

SPY — SPDR S&P 500 ETF
Broadest US equity benchmark. A drawdown here confirms stress is systemic, not sector-specific.هدوء 5d > -1% · مراقبة 5d -1% to -3% · ضغط 5d < -3%
KRE — SPDR S&P Regional Banking ETF
Regional banks are the canary in the coal mine — first to show stress from credit tightening, deposit flight, or CRE exposure.هدوء 5d > -3% · مراقبة 5d -3% to -8% · ضغط 5d < -8%
HYG — iShares iBoxx High Yield Corporate Bond ETF
High yield bonds price credit risk directly. Weakness here means the market is demanding higher compensation for default risk.هدوء 5d > -1% · مراقبة 5d -1% to -3% · ضغط 5d < -3%
SRLN — SPDR Blackstone Senior Loan ETF
Senior loans sit above HY in the capital structure. When SRLN underperforms HYG, it signals credit quality deterioration at the safest level.هدوء Outperforming HYG · مراقبة Flat vs HYG · ضغط Underperforming HYG by >1%
BIL — SPDR Bloomberg 1-3 Month T-Bill ETF
T-Bills are the ultimate safe haven. Price increases + high volume = investors fleeing risk assets for 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%

  • SVB / Regional Banking CrisisMar 2023 – May 2023

    Silicon Valley Bank collapsed in 48 hours, triggering regional bank runs (Signature, First Republic). Fed backstop via BTFP prevented systemic contagion.

    ذروة VIX 26.52 · تراجع S&P 500 -7.8%

نظام مراقبة الأزمات — United States التفاصيل
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