取得中...
たった今
NORMAL
危機スコア5.0/18.0
Hang Seng Vol
14.6
シグナル
3/8
フェイルセーフ
正常
無効化要因
0/0
アクション
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What's Happening

2 signalsfiring · 5.0/18.0 pts
3 points away from escalating to MONITOR. Key driver: Asia Financials Drawdown in Banking Sector.
Banking Sector3pts
+3
Asia Financials Drawdown-9.7%0005.HK

Asia Financials -8% in 5 days — Asian banking stress

Asian financials are first to show stress in regional financial system

Other2pts
+2
ASIA_intel_civil_unrest2.00

シンボル

Asia ex-Japan ETF↓↓
AAXJ
$114.42
2d
-3.4%
5d
-2.1%
1m
-1.5%
3m
0.0%
1y
0.0%
RVol
2.2
HSBC HK↓↓
0005.HK
$142.60
2d
-6.7%
5d
-9.7%
1m
-14.1%
3m
0.0%
1y
0.0%
RVol
3.3
Hang Seng↓
^HSI
$23785.79
2d
+0.4%
5d
-1.6%
1m
-4.7%
3m
0.0%
1y
0.0%
RVol
0.5
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Signals

Score: 5.0/18.0|Monitor: 8Trigger: 10Escalate: 12
Triggered (2)
-9.7+3
ASIA_intel_civil_unrest
2.0+2
Checks Passing (1)
-2.1OK
Inactive (5)
-1.6+0
ASIA_credit_hy_drawdown
0.0+0
-2.1+0
ASIA_futures_divergence
0.7+0
14.6+0
Signal Contribution
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この地域のスコアの算出方法

以下の各シグナルは、条件が満たされている間、この地域の危機スコアにポイントを加算します。合計は上に示したしきい値に従って危機ステージに対応付けられます。ルールの全文は方法論ページをご覧ください。

シグナルと金融商品の定義は、ルールファイルの記載どおり英語で表示しています。

シグナル

Asia Financials Drawdown+3 pt
Asia Financials -8% in 5 days — Asian banking stress重要な理由: Asian financials are first to show stress in regional financial system
Asia Real Estate Drawdown+2 pt
Wharf Real Estate (1997.HK) -5% in 5 days — Asian property stress重要な理由: HK developers are canaries in coal mine for Asian property/credit issues
Asia Credit Stress+2 pt
Asia High Yield underperforms Investment Grade — credit deterioration重要な理由: HY underperforming IG indicates Asian credit market stress and risk aversion
Asia Credit Drawdown+2 pt
Asia credit proxy -5% in 5 days — broad credit deterioration重要な理由: Sustained credit drawdown indicates deepening financial stress in Asia
Asia Market Drawdown+2 pt
MSCI Asia-Pacific -5% in 5 days — broad Asian equity weakness重要な理由: Regional equity weakness confirms stress is affecting broader Asian market
Asia FX Stress+2 pt
Asian currency basket move >3% in 3 days — regional FX pressure重要な理由: Rapid Asian currency weakening signals capital flight from the region
Asia Volatility Elevated+1 pt
Hang Seng vol above 25 — elevated Asian market fear重要な理由: Elevated regional volatility indicates market uncertainty and potential for sharp moves
Asia Market Stable+0 pt
MSCI Asia-Pacific holding above -3% over 5 days — no broad sell-off重要な理由: Market stability indicator — if met, stress may be contained to specific countries

追跡している金融商品

MKT — iShares MSCI All Country Asia ex Japan ETF (AAXJ)
Broadest Asia-Pacific equity benchmark. Drawdowns confirm regional stress beyond single-country issues.平穏 5d > -1% · 注意 5d -1% to -3% · ストレス 5d < -5%
BANKS — HSBC Holdings (0005.HK)
Asian financials are first to show stress from regional credit tightening or property market issues.平穏 5d > -3% · 注意 5d -3% to -8% · ストレス 5d < -8%
RE — Wharf Real Estate Investment Company (1997.HK)
HK developers are the canary for Asian property/credit stress, especially China spillover.平穏 5d > -3% · 注意 5d -3% to -10% · ストレス 5d < -10%
HY — Asia High Yield Credit
Asian high yield bonds. Weakness signals rising default risk in the region's corporate sector.平穏 5d > -1% · 注意 5d -1% to -3% · ストレス 5d < -3%
IG — Asia Investment Grade Credit
Asian IG bonds. When HY underperforms IG, it confirms credit quality deterioration.平穏 5d > -0.5% · 注意 5d -0.5% to -2% · ストレス 5d < -2%

この地域に影響した過去の危機

  • Global Financial CrisisSep 2008 – Mar 2009

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

    VIX ピーク 80.86 · S&P 500 下落率 -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.

    VIX ピーク 82.69 · S&P 500 下落率 -33.9%

  • China Devaluation / EM CrisisAug 2015 – Feb 2016

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

    VIX ピーク 40.74 · S&P 500 下落率 -14.2%

危機監視システム — Asia Pacific 詳細
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