Macro Environment
Six global indicators that set the backdrop for every investment decision. Updated nightly at 06:00 SGT.
Oil (Brent)
Energy cost pressure — rising oil raises input costs and inflation
Fed Funds
Cost of capital — higher rates compress equity valuations
US 10Y
Risk-free benchmark — the rate all other investments compete against
Gold
Risk-off signal — rising gold signals fear or inflation hedging
USD/SGD
Your base currency — affects returns on USD-denominated holdings
VIX
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.
In Buy Zone
Price is within your buy range — consider acting
Approaching
Within 5% of your buy zone — watch closely
Monitoring
Tracking but no buy target set yet
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 Sector Price Buy Zone Exit Zone Status Updated
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