Market Pulse
Macro environment, regime, earnings, and fund flow overview
Market Regime Risk-On
VIX, credit spreads, and SPY trend
VIX 18.67
SPY vs MA200 +6.22%
Available indicators are broadly supportive — risk-on context
View detailCrisis Dashboard Normal
Market-stress context and reported source activity
VIX 18.67
Sources 5
Cross-Asset High
VIX risk appetite, yield curve, and M2 liquidity
Risk Appetite 70
10Y Yield 4.47%
Normal Yield Curve
View detailMacro Dashboard
Regime, cross-asset, and economic indicators combined
M2 Growth YoY +5.58%
Credit Spread 2.79%
Earnings Calendar
Upcoming and recent quarterly earnings with beat/miss data
This Week 0
Total Upcoming 0
BMO: 0 — AMC: 0
View detailFund Flows (ETF)
Daily ETF net inflows and outflows by category
Total Daily Flow $-1.2B
Top ETF VOO
S&P 500 (Vanguard): $-1.3B
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