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Stocks Signal
Friday, January 16, 2026 at 17:00 UTC
Market
Mixed signals from the market. Consider smaller positions or wait for clearer direction. Mixed
USD
US Dollar strength. Strong dollar typically hurts crypto and commodities. Weak dollar often means risk-on. Neutral
Volatility
Market fear gauge (VIX). Low = calm markets. High = fearful, prices may swing wildly. Moderate
10Y Rate
US Treasury yields. Rising rates compete with stocks. Falling rates are bullish for risk assets. Stable
Sentiment
Fear & Greed Index (0-100). Low = buying opportunity. High = overheated. --
Spread
10Y minus 2Y Treasury yield. Negative (inverted) warns of recession. --
Regime
Market regime based on events, sentiment, volatility. --
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Live News Monitor
Real-time geopolitical monitoring via GDELT. Scans global news every 6 hours for events that could impact markets: tariffs, sanctions, military conflicts, political crises.
Updated Initializing... ○ Initializing Setting up geopolitical monitoring...
Neutral →
Macro: Unavailable
Jan 16, 2026 at 17:00 UTC
Today's market shows a neutral bias with balanced risks—bullish assets face potential reversal, while bearish assets may see a bounce; caution is warranted in both directions.
Bullish Triggers
No bullish triggers identified today
Risk Factors
- All assets bullish - potential reversal risk
- All assets bearish - potential bounce risk
Macro data unavailable - using fallback
Missing assets: NVDA, MSFT, XOM, ORCL, AAPL