Market Risk Index Update - 2018-07-25
Market Risk Indices
Current Global Bond Market Risk
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%)
Current US Stock Market Risk
Current Global Stock Market Risk
Current US Dollar Risk
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.