Multi-asset world dashboard grouped by category + risk-on/off register.
Multi-asset world dashboard grouped by category + risk-on/off register.
Equities (US / EU / Asia / EM) / Rates (UST 2y / 10y / 30y, Bund 10y, JGB 10y) / FX (DXY, EURUSD, USDJPY, GBPUSD, AUDUSD) / Commodities (CL, GC, SI, HG) / Crypto (BTC, ETH) / Vol (VIX, MOVE). One screen — the global tape.
Top-right hero chip aggregates cross-asset posture. RISK ON = equities up + rates up + commodities up + crypto up + DXY down. RISK OFF = the inverse. MIXED = position-driven, not regime-driven.
Equities up + rates up = real risk-on (positive earnings revisions). Equities up + rates down = position squeeze (rate-sensitive longs). Equities down + rates down = recession scare. The combinations tell you the WHY behind the move.
Type SROT to read which sectors are leading within US equities. Cross-asset register here + sector leadership there = full macro positioning read.
SROT