Macro Environment
Six global indicators that set the backdrop for every investment decision. Updated nightly at 06:00 SGT.
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Oil (Brent)
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Energy cost pressure — rising oil raises input costs and inflation
Fed Funds
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Cost of capital — higher rates compress equity valuations
US 10Y
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Risk-free benchmark — the rate all other investments compete against
Gold
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Risk-off signal — rising gold signals fear or inflation hedging
USD/SGD
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Your base currency — affects returns on USD-denominated holdings
VIX
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Market fear gauge — below 15 calm, above 25 fear, above 35 opportunity
Portfolio Pulse
Where your watchlist sits relative to your buy and exit targets. Set targets on each company's detail page.
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In Buy Zone
Price is within your buy range — consider acting
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Approaching
Within 5% of your buy zone — watch closely
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Monitoring
Tracking but no buy target set yet
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No Target Set
Research stage — buy/exit prices not yet defined
AI Intelligence
Daily read generated from live macro data and your watchlist. Click ↻ to refresh at any time.
Market Environment
Analysing macro data…
What To Watch Today
Generating commentary…
Watchlist
Your tracked companies — click any row to open the full research view with chart, scorecard, and thesis.
| Ticker | Company | Price | Status | |||||
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