OPEN-SOURCE SCRIPT

Macro Regime Dashboard

55
HOW TO READ THE MACRO REGIME DASHBOARD

Think of this as a weather report for markets, not a trade signal generator.

1 START WITH THE REGIME (TOP ROW)
MACRO REGIME

RISK-ON → tailwinds for equities & beta

MIXED → chop, fakeouts, smaller size

RISK-OFF → capital preservation first

This answers:

“Should I be pressing risk right now?”

Rule of thumb

Stay aligned with the regime

Don’t fight it with individual stock ideas

2 THE SCORE (SECOND ROW)
Regime Score

Range: roughly –5 to +5

+3 to +5 → strong risk-on

+1 to +2 → mild tailwind

–1 to +1 → transition / no edge

–2 to –5 → defensive environment

This answers:

“How confident is this environment?”

Position sizing rule

|Score| ≥ 3 → full size allowed

|Score| = 1–2 → reduced size

|Score| = 0 → mostly wait

3 EQUITIES ROW (SPY vs MA)
Equities

Risk+ → SPY above trend MA

Risk- → SPY below trend MA

This is your market participation check.

Interpretation

Risk-ON + Equities Risk+ = trends work

Risk-OFF + Equities Risk- = avoid longs

Mixed + Equities flipping = chop zone

4 CREDIT ROW (HYG / IEF)
Credit

Risk+ → credit spreads tightening

Risk- → credit stress building

This is the canary in the coal mine.

Very important rule

If Credit = Risk-, be skeptical of rallies

Credit usually breaks before equities

5 VOLATILITY ROW (VIX)
Volatility

Low → trend-following works

High → mean reversion, hedging, patience

This answers:

“Is the market calm or nervous?”

Trade adjustment

Low vol → options selling, swing trades

High vol → smaller size, wider stops, hedges

6 RATES ROW (10Y YIELD)
Rates

Risk+ → yields falling

Risk- → yields rising

This tells you who wins inside equities.

Mapping

Falling rates → tech, growth, duration

Rising rates → value, energy, financials

7 USD ROW (DXY)
USD

Risk+ → USD weakening

Risk- → USD strengthening

This controls global liquidity.

Mapping

Weak USD → commodities, EM, gold

Strong USD → US assets outperform, EM struggles

8 200 MA CONTEXT (LONG TREND)
Bull / Bear Context

Bull → regime shifts resolve upward

Bear → rallies fail more often

This is your macro gravity.

Rule

In Bear context → be quicker to de-risk

In Bull context → give trades more room

9 TILT (BOTTOM ROW)
Tilt

This is your portfolio bias, not a trade.

Examples:

Growth / Equities / EM

Cash / Defensives / Hedges

Reduce size / wait

This answers:

“What should my book look like this week?”



EXAMPLE: STRONG RISK-ON

Regime: RISK-ON

Score: +4

Credit: Risk+

Vol: Low

Action

Full size allowed

Favor trend trades

Reduce hedges

EXAMPLE: RISK-OFF

Regime: RISK-OFF

Score: –3

Credit: Risk-

Vol: High

Action

Raise cash

Defensive ETFs

Avoid dip-buying

EXAMPLE: MIXED / TRANSITION

Score near 0

Credit flat

Vol rising

Action

Smaller size

Pairs trades

Wait for confirmation

Feragatname

Bilgiler ve yayınlar, TradingView tarafından sağlanan veya onaylanan finansal, yatırım, alım satım veya diğer türden tavsiye veya öneriler anlamına gelmez ve teşkil etmez. Kullanım Koşulları bölümünde daha fazlasını okuyun.