risk
VIX Index
The U.S. equity volatility gauge, a fast read on global risk aversion.
Long-history series are stored as real provider observations. Index, FX, VIX, and ratio charts use historical backfill where providers expose it; Korean investor flow and margin-credit feeds expand as stable historical endpoints become available.
Related views
Related indicators and radar
S&P 500
The broad large-cap benchmark for U.S. equity conditions.
Pairs volatility stress with the S&P 500 trend.
NASDAQ Composite
A global gauge for growth-stock and technology risk appetite.
Checks how growth risk appetite relates to volatility.
US market breadth
U.S. advance-decline breadth, high-low balance, and participation.
Connects volatility with U.S. breadth.
Gold-Silver Ratio
Compares defensive gold demand with more cyclical silver demand.
Compares volatility stress with defensive metal demand.