11 asset classes
Each has a permanent page carrying the latest read from both public lenses. Where the two disagree — rising but expensive, cheap but unsupported — the tension is stated rather than averaged away.
Energy
#1Energy leads as trends and supply risks align
Developed Pacific Equities
#2Pacific uptrends hold despite mixed external evidence
Emerging Markets Equities
#3Emerging markets retain broad favorable alignment
US Equities
#4U.S. uptrend holds against balanced event evidence
Japan Equities
#5Japan’s uptrend confronts tightening and oil risks
Metals
#6Metals stay balanced as safe-haven demand rises
Crypto
#7Crypto uptrend remains fragile under high volatility
Europe Equities
#8Europe’s uptrend conflicts with inflation and energy risk
China & Hong Kong Equities
#9China and Hong Kong remain range-bound and balanced
Real Estate
#10Real estate stays cautious under rates and housing weakness
Fixed Income
#11Bonds stay cautious as inflation risks dominate
