The ultimate institutional dashboard for cross-asset tracking, regime detection, and statistical shock analytics. Now running at warp speed.
| Asset | World | Z-Score | Move | Severity |
|---|---|---|---|---|
| Fetching live data from terminal... | ||||
Traditional correlation matrices measure everyday noise. Earth Scanner only activates on statistically extreme impulse events and measures their cross-asset ripple effects.
Rolling mean and standard deviation per asset. Adaptive windows: 90 days for macro/equities, 15 days for crypto.
Isolates extreme moves where |Z-score| exceeds statistical thresholds, filtering out standard noise.
Measures directional drift in Reaction Assets over T+5 days to calculate Expected Alpha.
Every major market vertical, updated hourly via our high-performance FastAPI backend.
USD, Commodities, FX, & Indices
GICS sectors & 25yr history
Full S&P 500 monitoring
13 categories across the universe
Isolating the rotation between Cloud software and AI hardware. Backtested 2021-2026.
The strategy generated 11 times more return per unit of market exposure than simply holding NVDA. For the points where the terminal suggested cash, capital was protected from drawdowns.
Choose the level of intelligence required for your portfolio workflow.
Explore Global Macro with the fundamental analytical toolkit.
Extreme shock alerts to your inbox/Telegram, 24/7 coverage.
The professional workstation. Advanced cross-asset analytics.