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Market Risk Index Update - 2018-07-25

Market Risk Indices

Bond market risk index

Current Global Bond Market Risk
49% neutral

Bond market risk

The global bond market risk index remains at a neutral level of 49% (last week: 26%).

The regional bond market risk index for the US, Canada and Western Europe decreased slightly to 52%. Last week this risk index was at a positive level of 25%.


Stock market risk

Due to strong US stock markets the US stock market risk dropped to a two-months low at 31% (i.e. positive level).

The regional stock market risk index for the US, Canada and Western Europe sunk to 30% at US market close.

Global stock market risk dropped further to a positive level of 35% (last week: 41%)

US stock market risk index

Current US Stock Market Risk
31% positive

Stock market risk index

Current Global Stock Market Risk
35% positive


US dollar risk index

Current US Dollar Risk
15% positive

Foreign exchange cross rate risk

The US Dollar is still showing strength against other major currencies. US Dollar risk index remains positive at 15%. Last week the US Dollar risk index was at 8%.


More information our intuitive risk indices and how they work at Market Risk Index - How it works.