Stress signals detected. Emerging markets are more sensitive to contagion — what starts as local stress can quickly attract speculative pressure and capital flight.
Options markets pricing higher uncertainty. Hedging costs increasing. Gamma exposure shifting.
FX pressure can accelerate capital outflows and imported inflation. Watch central bank reserves drawdown.
In EM, MONITOR states tend to be shorter — they either resolve quickly or escalate within 2-3 days as FX pressure compounds.
1-5 days
BRL/USD move >3% in 3 days — real depreciation pressure
Rapid real weakening signals capital flight and potential central bank intervention
Brazil market volatility above 35 — elevated uncertainty
Elevated volatility indicates market uncertainty and potential for sharp moves
아래 각 신호는 조건이 충족되는 동안 이 지역의 위기 점수에 점수를 더합니다. 합계는 위에 표시된 임계값에 따라 위기 단계로 매핑됩니다. 전체 규칙은 방법론 페이지에서 확인할 수 있습니다.
신호 및 금융상품 정의는 규칙 파일에 작성된 대로 영어로 표시됩니다.
Fastest bear market in history. Global lockdowns caused simultaneous supply and demand shocks across all asset classes.
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PBoC surprised markets with CNY devaluation, triggering global EM selloff and commodity crash. Oil fell below $30.
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Fed signaled tapering QE. EM currencies and bonds sold off sharply as dollar strengthened.
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