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MONITOR
Кризисный балл5.0/18.0
FTSE Vol
10.3
Сигналы
3/8
Отказоустойчивость
OK
Инвалидаторы
0/0
Действия
Увеличить частоту мониторингаПересмотреть хеджирование

Early stress indicators are firing. Historically, about 40% of MONITOR episodes escalate to PHASE 1, while the rest resolve within days.

Financials
▼Under pressure

Bank stocks weakening can precede broader credit tightening. Watch interbank lending rates and CDS spreads.

Volatility
▲Elevated

Options markets pricing higher uncertainty. Hedging costs increasing. Gamma exposure shifting.

Historical Context

Past MONITOR episodes: ~60% resolved without escalation. The ones that escalated typically showed credit and banking stress simultaneously.

Typical Duration

2-7 days

What's Happening

2 signalsfiring · 5.0/18.0 pts
2 points away from escalating to PHASE 1. Key driver: UK_intel_crisis_themes in Other.
Other3pts
+3
UK_intel_crisis_themes3.00
Banking Sector2pts
+2
UK Banks Drawdown-5.6%BARC.L, LLOY.L

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

Инструменты

FTSE 100↓
ISF.L
$1015.40
2d
-0.4%
5d
-1.4%
1m
-2.7%
3m
0.0%
1y
0.0%
RVol
1.6
UK Banks↓↓
BARC.L
$426.15
2d
-3.3%
5d
-5.6%
1m
-11.4%
3m
0.0%
1y
0.0%
RVol
1.3
UK Credit→
SLXX.L
$116.68
2d
+0.1%
5d
-0.0%
1m
-2.0%
3m
0.0%
1y
0.0%
RVol
0.6
Gilts↓
IGLT.L
$9.46
2d
-0.1%
5d
-0.1%
1m
-0.6%
3m
0.0%
1y
0.0%
RVol
2.1
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Signals

Score: 5.0/18.0|Monitor: 5Trigger: 7Escalate: 9
Triggered (2)
-5.6+2
UK_intel_crisis_themes
3.0+3
Checks Passing (1)
-1.4OK
Inactive (5)
-1.8+0
UK_gilts_stress
-0.1+0
-0.0+0
-1.4+0
10.3+0
Signal Contribution
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Как рассчитывается оценка этого региона

Каждый сигнал ниже добавляет баллы к кризисной оценке этого региона, пока выполняется его условие. Сумма переводится в кризисное состояние по порогам, показанным выше. Полный свод правил — на странице методологии.

Определения сигналов и инструментов приведены на английском языке, как в файлах правил.

Сигналы

UK Banks Drawdown+3 б.
UK banks (BARC, LLOY) -8% in 5 days — UK banking sector stressПочему это важно: UK banks are highly leveraged to property and credit markets; drawdowns signal systemic risk
UK Property Drawdown+2 б.
UK property (BLND) -10% in 5 days — commercial real estate stressПочему это важно: UK commercial property is a key stress indicator, especially post-Brexit and with rising rates
UK Credit Stress+2 б.
UK gilts (IGLT) underperforming — credit market deteriorationПочему это важно: Gilt stress (as seen in 2022 LDI crisis) can cascade through pension funds and banks
UK Credit Drawdown+2 б.
UK credit proxy -5% in 5 days — broad credit deteriorationПочему это важно: Sustained credit drawdown indicates deepening financial stress in the UK
FTSE 100 Drawdown+2 б.
FTSE 100 -5% in 5 days — broad UK equity weaknessПочему это важно: Broad UK equity weakness confirms stress is affecting the wider market
Sterling Stress+2 б.
GBP/USD move >3% in 3 days — sterling depreciation pressureПочему это важно: Rapid sterling weakening signals loss of confidence in UK economy/fiscal policy
UK Volatility Elevated+1 б.
UK market volatility above 25 — elevated uncertaintyПочему это важно: Elevated volatility indicates market uncertainty and potential for sharp moves
UK Market Stable+0 б.
FTSE 100 holding above -3% over 5 days — no broad sell-offПочему это важно: Market stability indicator — if met, stress may be contained to specific sectors
UK Property Drawdown+2 б.
UK property (BLND) -10% in 5 days — commercial real estate stressПочему это важно: UK commercial property is a key stress indicator, especially post-Brexit
UK Market Stable+0 б.
FTSE 100 holding above -3% over 5 days — no broad sell-offПочему это важно: Market stability indicator — if met, stress may be contained to specific sectors

Отслеживаемые инструменты

MKT — FTSE 100 Index (^FTSE)
UK's flagship equity index. Heavily weighted to commodities and financials. Drawdowns confirm broad UK stress.Спокойно 5d > -1% · Внимание 5d -1% to -3% · Стресс 5d < -3%
BANK — UK Banks (Barclays, Lloyds)
UK banks are highly leveraged to the property market and mortgage lending. Drawdowns signal housing/credit risk.Спокойно 5d > -3% · Внимание 5d -3% to -8% · Стресс 5d < -8%
CRD — iShares UK Corporate Bond ETF
UK corporate credit. Weakness signals tightening financial conditions in the UK economy.Спокойно 5d > -0.5% · Внимание 5d -0.5% to -2% · Стресс 5d < -2%
RE — British Land (BLND.L) — UK Commercial Property
UK commercial property bellwether. Sensitive to interest rates, remote work trends, and credit conditions.Спокойно 5d > -3% · Внимание 5d -3% to -10% · Стресс 5d < -10%
GILT — iShares UK Gilts ETF (IGLT.L)
UK government bonds. Gilt stress (as seen in the 2022 LDI crisis) can cascade through pension funds, banks, and the entire financial system.Спокойно 5d > -0.5% · Внимание 5d -0.5% to -3% · Стресс 5d < -3%
FX — British Pound (GBP/USD)
Sterling weakness signals loss of confidence in UK economy or fiscal policy. Sharp moves can trigger imported inflation.Спокойно 3d < +1% · Внимание 3d +1% to +2% · Стресс 3d > +2% depreciation

Прошлые кризисы, затронувшие этот регион

  • Global Financial CrisisSep 2008 – Mar 2009

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

    Пик VIX 80.86 · Падение S&P 500 -56.8%

  • European Sovereign Debt CrisisJul 2011 – Nov 2011

    Greek debt restructuring fears spread to Italy and Spain. ECB's 'whatever it takes' eventually contained it.

    Пик VIX 48 · Падение S&P 500 -19.4%

Система мониторинга кризисов — United Kingdom Подробности
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