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Core Indicators

VIX Level

VIX 15.80

72
Greed

Calm regime — normal volatility range

Participation Trend

Above 20-day MA

62%

Above 50-day MA

55%

Stock-Bond Correlation

-0.150

65
Greed

Correlation near zero — diversification protection is weakening

Secondary Indicators

60

Safe Haven Demand

-0.02%

Stocks and bonds roughly matched — flow neutral

55

Junk Bond Demand

+3.20%

Junk outperforming IG — credit appetite warming

58

Put/Call Ratio

PCR 0.850

Put/call ratio in its normal range

Market data provided by Yahoo Finance. May be delayed up to 15 minutes.