In the Macro, MacroMicro approaches from a global and major economy perspective to grasp overall trends; in the Sector, it delves deeply along the industry chain, combining supply chain data and individual stock financial reports to analyze how the macroeconomic environment and industries interact and influence each other.
The Markets units start from targets and themes, integrating diverse asset information including stocks, foreign exchange, bonds, commodities, central banks, ETFs, and cryptocurrencies, helping investors establish a more complete market perspective from the angle of asset allocation.
| Markets | Forex | Track exchange rate trends for major global currencies, covered 25 important economies including the USD, EUR, JPY, and CNY. Suited for investors monitoring currency risk and cross-market capital flows. |
| Stock | A page tracking global equity market performance and fundamental drivers, helping investors understand the context behind market moves from a macro perspective and make more informed asset allocation decisions. | |
| ETFs | Tracks ETF returns across regional equity markets, key sectors, bonds, and commodities — offering a broad overview of trends across a basket of assets at a glance. | |
| Bond | A page tracking bond yield trends and interest rate environments across major global markets — an important reference for understanding central bank policy direction and evaluating bond allocations within a portfolio. | |
| Crypto | A dedicated page tracking cryptocurrency market trends from a macroeconomic perspective, helping investors understand the relationship between crypto assets and macro liquidity conditions and risk appetite. | |
| Volatility | A dedicated page aggregating volatility indices across global markets, organized into four sections: US markets, non-US markets, commodities, and individual equity markets. Volatility indices represent implied volatility derived from options pricing and serve as an important gauge of market fear and risk sentiment. | |
| Sovereign Debt Default |
A page tracking sovereign credit default swap (CDS) spreads across countries, presented by region — Americas, Europe, and Asia. Reflects real-time market pricing of sovereign debt default risk for each country, suited for investors focused on geopolitical and sovereign credit risk. The Sovereign Debt Default column presents the credit default swap quotes for 5-year bonds of various countries: |