取得中...
たった今
NORMAL
危機スコア0.0/10.0
INDA Vol
13.2
シグナル
1/5
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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All Clear

No stress signals are firing for this region. All monitored indicators are within normal ranges. Continue routine monitoring.

シンボル

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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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

India Banks Drawdown+3 pt
Indian banks (IBN, HDB) -8% in 5 days — banking sector stress重要な理由: Indian banks are key indicators of domestic financial health and NPA risk
India Credit Stress+2 pt
India bond proxy (IGIB) underperforming — credit deterioration重要な理由: Credit stress in India signals tightening financial conditions and potential NPA issues
India Credit Drawdown+2 pt
India credit proxy -5% in 5 days — broad credit deterioration重要な理由: Sustained credit drawdown indicates deepening financial stress in India
India Market Drawdown+2 pt
India ETF (INDA) -5% in 5 days — broad Indian equity weakness重要な理由: Broad equity weakness confirms stress is affecting the wider Indian market
Rupee FX Stress+2 pt
INR/USD move >3% in 3 days — rupee depreciation pressure重要な理由: Rapid rupee weakening signals capital outflows and potential RBI intervention
India Volatility Elevated+1 pt
India market volatility above 35 — elevated uncertainty重要な理由: Elevated volatility indicates market uncertainty and potential for sharp moves
India Market Stable+0 pt
India ETF (INDA) 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 sectors
India Real Estate Drawdown+2 pt
India REITs -10% in 5 days — property sector stress重要な理由: Indian real estate stress signals potential NPA issues in banking sector
India Market Stable+0 pt
India ETF (INDA) 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 sectors

追跡している金融商品

MKT — iShares MSCI India ETF (INDA)
Broadest India equity proxy. Tracks large and mid-cap Indian companies.平穏 5d > -1% · 注意 5d -1% to -3% · ストレス 5d < -6%
BANK — Indian Banks (ICICI, HDFC)
Indian banks are key indicators of domestic financial health. Exposed to NPA (non-performing asset) risk.平穏 5d > -3% · 注意 5d -3% to -8% · ストレス 5d < -8%
CRD — India Credit / Bond Proxy (IGIB)
Indian credit conditions. Weakness signals tightening financial conditions and potential NPA issues.平穏 5d > -0.5% · 注意 5d -0.5% to -2% · ストレス 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.平穏 5d > -2% · 注意 5d -2% to -6% · ストレス 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.平穏 3d < +0.5% · 注意 3d +0.5% to +1.5% · ストレス 3d > +1.5% depreciation

この地域に影響した過去の危機

  • Taper TantrumMay 2013 – Sep 2013

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

    VIX ピーク 21.91 · S&P 500 下落率 -5.8%

危機監視システム — India 詳細
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