This indicator acts as a comprehensive framework that integrates a diverse range of indicators—spanning liquidity, sentiment, market volatility, and macroeconomic factors—to construct a holistic view of risk.
By blending these varied components, the system identifies shifts in risk-on and risk-off environments, providing a complete and dynamic assessment of global market conditions.
This allows for more informed decision-making by capturing both localized and broad market influences in real time, enabling proactive risk management and the ability to adapt to rapidly changing conditions.
Important notes :
-> Excluding OIL form selected inputs allows the indicator to work before 2018 as well.
-> This indicator , due to some of the macro tickers, doesn't support timeframes lower than 1D. It works on 1D, 2D, 4D,... but on lower than 1D won't work.
Composition :
4 different categories - each one equal weight
-> Mix of Global & U.S Liquidity
-> Mix of different macro factors
-> Mix of Crypto and Commodities
-> Mix of Volatility & Risk Indicators