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One dashboard with official Federal Reserve data and AI-powered sector recommendations.

Economic Health --
Cycle Phase --
Reality Adjustment --

Market Quick Panel

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DXY
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VIX
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S&P 500
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Gold
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Bitcoin
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2Y Treasury
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10Y Treasury
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30Y Treasury
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WTI Oil
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EUR/USD
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Markets

Commodities

Currency Pairs

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AI Analysis

Market News

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Upcoming Events

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Economic Data (FRED)

Indicator Current 1 Month 3 Months 6 Months 1 Year Trend

Historical Trends

Click any chart for detailed analysis

Indicator Correlations

How economic indicators relate to each other

Economic Health Score

Health Score

Official score + narrative (no data/logic changes - layout only).

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Health Score
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Key Signals

Fast read on thresholds that drive regime shifts.

Score Breakdown

What is contributing positively vs negatively.

Economic Reality Check

Alternative economic metrics (pre-1990 methodologies + broader measures).

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Metric Official / Reality Impact Difference Method

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Additional Market Info

Contextual market indicators + macro interpretation.

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Indicator Current Value + Context Macro Interpretation Trend Change vs Last

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Business Cycle

Current Cycle Position

Arc position, phase signals, and near-term risk context.

Expansion (0-25)
Boom (25-50)
Recession (50-75)
Depression (75-100)
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Bubble Risk:
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Next Phase:
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Sector Rotation Matrix

Historical patterns + AI recommendations for the current environment.

Matrix

Performers
ExpansionBoomRecessionDepression
Non-performers
ExpansionBoomRecessionDepression

Green arrows (↑) = historically stronger performers in that phase; red arrows (↓) = laggards. Double arrows (↑↑ / ↓↓) indicate stronger historical relationships.

AI Sector Recommendation

Official Phase: Loading...
Reality-adjusted: -
Reality-adjusted tilt: Loading...

    Recommendations

    Recommended Sectors
    Official
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    Reality-adjusted
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    High Risk (Avoid/Reduce)
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    Cash Position
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    - Reality-adjusted cash guidance

    Sector Performance

    Sector 1D 5D 1M 3M 6M 1Y
    Performance: % change of S&P 500 sector proxies over common lookbacks.

    US Market Movers

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    Session Winners
    The VIX +0.00%
    Communications Technology +0.00%
    Natural Gas +0.00%
    Gold +0.00%
    Utilities +0.00%
    US Dollar +0.00%
    Bonds +0.00%
    Session Losers
    Healthcare -0.00%
    WTI Crude Oil -0.00%
    Brent Crude Oil -0.00%
    Real Estate -0.00%
    Materials -0.00%
    Consumer Staples -0.00%
    Broad Commodities -0.00%

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    Company Breakdown (Proxy)

    ISM is reported by industries (not companies). This panel maps each ISM metric to relevant sectors and shows the biggest company movers as a practical proxy.

    3M

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    Company breakdown temporarily unavailable

    Company signals = price performance + public attention (Reddit + news) plus SEC cadence. Use this to spot rising/waning interest around a ticker - a starting point for research, not financial advice.
    Data Sources
    📈 Stock Performance Price, 1D/1M/3M/1Y change (Yahoo)
    🔥 Reddit Buzz Weekly mentions + sentiment score
    📰 News (7d) Article count + sentiment
    ⚡ Attention Spike 24h buzz vs baseline
    🧑‍💼 Insider (Form 4) Net shares + filings (90d)
    🧾 SEC 8-K Filing cadence (30d)
    🌐 Macro Tailwind ISM sector overlay
    - -
    Next Earnings - -
    Indicator Current 1 Day 1 Month 3 Months 1 Year Signal
    Composite Forward Score -
    Bearish Neutral Bullish

    Search for a company to view forward indicators

    Squeeze candidates = high short interest + liquidity constraints + (when available) our Attention Spike signal. This is a research starting point, not financial advice.
    How the score works + what each column means
    🧨 Squeeze Score (0-100) Score = 38% Short% + 30% Days-to-Cover + 14% Float constraint + 8% 1W momentum + 10% Attention Spike (if cached; otherwise neutral).
    📉 Short % Short interest as % of float (from HighShortInterest.com).
    ⏳ Days (to cover) Estimated short shares / avg daily volume (30d). Higher = harder to unwind quickly.
    🧊 Float Approx float shares. Smaller float can squeeze harder (but can be riskier).
    🏦 Borrow % (CTB) Cost-to-borrow (annualized) from IBorrowDesk / Interactive Brokers (best-effort). Higher = harder to short.
    📈 1D / 1W / 1M / 3M Price performance from Stooq daily data (best-effort).
    ⚡ Attention Spike Click a ticker to jump into the Company tab and review Attention Spike (important for validating squeezes).
    Ticker Short % Float DTC Borrow % 1D 1W 1M 3M Score
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    No squeeze candidates available right now.

    Options Finder = quick options chain view with filtering + mid/bid/ask sorting. Use this as a helper tool — not financial advice.

    Sector Rotation Playbook

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    Building today's sector plan.

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