MacroWatch market terminal

Global markets, risk and intelligence in one professional view.

Monitor cross-market performance, market breadth, volatility regimes, model risk and high-impact events from the same research layer used throughout MacroWatch.

End-of-day data active 2026-10-02 02:44
Markets tracked 83 Connected assets
Market breadth 56 / 19 Advancing / declining
Average volatility 50.8% 30-day measure
High-risk assets 4 Model watchlist
Cross-market analysis

Relative performance across key markets

Base 100 · 3 months
Internal market structure

Market breadth

Advancing56
Declining19
Unchanged8
Key markets

Professional market monitor

Compare ↗
SP500 S&P 500 Index
+0.70%
7,489.72 USD
Trendpositive
Riskmoderate
30D+0.09%
SPY SPDR S&P 500 ETF
+0.72%
747.03 USD
Trend—
Risk—
30D+0.17%
QQQ Invesco QQQ
+0.65%
687.99 USD
Trend—
Risk—
30D-5.13%
GBP/USD GBP/USD
+0.12%
1.35 USD
Trend—
Risk—
30D+1.00%
USD/JPY USD/JPY
-1.22%
157.57 JPY
Trend—
Risk—
30D-2.19%
GOLD Gold
+1.53%
4,185.44 USD
Trendnegative
Riskhigh
30D-3.82%
NVDA NVIDIA
+2.93%
200.75 USD
Trendneutral
Riskhigh
30D+1.60%
AAPL Apple
-7.35%
308.91 USD
Trend—
Risk—
30D+4.94%
MSFT Microsoft
+3.02%
464.72 USD
Trend—
Risk—
30D+20.93%
AMZN Amazon
+15.32%
271.58 USD
Trend—
Risk—
30D+12.36%
DJIA Dow Jones Industrial Average
+0.53%
52,485.03 USD
Trend—
Risk—
30D+0.34%
USD EUR / USD — US Dollar
+0.00%
1.14 USD
Trendneutral
Risklow
30D-2.03%
Intelligence

High-impact events

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Historical performance and statistical scenarios are informative. They do not guarantee future returns and are not investment advice.