TrendRadar
Last update: 00:00 UTC / 00:00 GMT / 02:00 CEST (Central Europe)
Assets matching at least one selected technical indicator. Use broker filters, strategy presets, and indicator filters to change the view.
Number of assets: 6 of 41472
Report universe: 41472 candidates loaded for this report from 54216 assets with current indicator data. The maintained static profile universe contains 55005 unique tickers, but not every ticker has current data or matches a report candidate condition.
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How to read this score / Jak číst toto skóre
Market backdrop is mixed; prefer the highest-quality fresh entries. US Market Score uses US-listed market proxies and liquid US/Canada report-universe breadth. Direct spot VIX is used when available.
English
The US Market Score is a risk backdrop for new TrendRadar entries, not a standalone buy or sell signal. It is primarily built from US-listed equity, credit, and volatility proxies, with report-universe breadth as its local input.
Risk-on means the broad backdrop supports normal fresh-entry strategies. Selective means conditions are mixed and only the highest-quality fresh entries deserve attention. Defensive means the market is fragile and new positions should usually be smaller or wait for extra confirmation. Risk-off means aggressive new entries should generally wait.
The component scores explain the source of risk. Weak credit while equity and volatility are positive often means the market is still rising, but the bond market is less enthusiastic. Direct Spot VIX is used when available.
Česky
US Market Score popisuje prostředí pro nové vstupy v TrendRadaru. Není to samostatný nákupní ani prodejní signál. Je založeno hlavně na amerických akciových, úvěrových a volatilních proxy; šířka trhu používá univerzum právě otevřeného reportu.
Risk-on znamená, že širší tržní prostředí podporuje běžné fresh-entry strategie. Selective znamená smíšené podmínky a dává smysl vybírat jen nejkvalitnější fresh vstupy. Defensive znamená křehčí trh, kde nové pozice obvykle vyžadují menší velikost nebo dodatečné potvrzení. Risk-off znamená, že agresivní nové vstupy je lepší většinou odložit.
Dílčí skóre ukazuje, odkud přichází riziko. Slabší kredit při pozitivních akciích a volatilitě často znamená, že akcie ještě rostou, ale dluhopisový trh je opatrnější. Přímý Spot VIX se použije vždy, když je dostupný.
Detailed documentation: 🇬🇧 · 🇸🇰 · 🇨🇿 · 🇵🇱 · 🇪🇸 · 🇺🇦 · 🇹🇷 · 🇨🇳 · 🇭🇺 · 🇩🇪 · 🇫🇷 · 🇮🇹 · 🇧🇷 · 🇷🇴 · 🇮🇩
Score scale: 70-100 Risk-on 50-69 Selective 30-49 Defensive below 30 Risk-off
Equity / breadth
35/40- OK SPY above rising 200D MA Open SPY chart on TradingView SPY 773.26 vs 200D MA 702.97, slope +4.5% 14/14
- Watch QQQ leadership vs SPY Open QQQ chart on TradingViewOpen SPY chart on TradingView QQQ RS 3M vs SPY -1.7% 0/5
- OK IWM participation vs SPY Open IWM chart on TradingViewOpen SPY chart on TradingView IWM RS 3M vs SPY +1.1% 5/5
- OK Equal-weight breadth proxy Open RSP chart on TradingView RSP above 200D MA: yes, slope +3.8% 6/6
- OK Liquid report universe above 200D MA +62.1% (4736/7627) 10/10
Credit proxy
13/30- Watch HYG above rising 200D MA Open HYG chart on TradingView HYG 200D MA slope -0.4% 0/10
- Watch JNK above rising 200D MA Open JNK chart on TradingView JNK 200D MA slope -0.4% 0/7
- OK High yield stronger than LQD Open HYG chart on TradingViewOpen LQD chart on TradingView HYG 63D return minus LQD +1.7% 8/8
- OK High yield stronger than IEF Open HYG chart on TradingViewOpen IEF chart on TradingView HYG 63D return minus IEF +1.3% 5/5
Volatility
11/20- OK Spot VIX level Open VIX chart on TradingView VIX 16.40; full points <=16, partial <=25 6/8
- Watch Spot VIX below 200D MA, but 200D MA rising Open VIX chart on TradingView VIX 16.40 vs 200D MA 18.55, slope +4.9% 0/7
- OK Spot VIX falling over 63D Open VIX chart on TradingView VIX 63D return -31.8% 5/5
Regime confirmation
0/10- Watch SPY weekly bull regime Open SPY chart on TradingView Weekly Markov regime is not bullish 0/5
- Watch QQQ weekly bull regime Open QQQ chart on TradingView Weekly Markov regime is not bullish 0/3
- Watch RSP weekly bull regime Open RSP chart on TradingView Weekly Markov regime is not bullish 0/2
Regional market context
Europe and Asia use local liquid-universe breadth and regional equity ETFs. Global credit and volatility proxies are shown separately so their contribution stays transparent. Read the methodology note.
Europe Market Score combines liquid Europe-region report-universe breadth and regional equity ETFs. Credit appetite and volatility use global USD proxies because comparable regional credit and volatility series are not consistently available in the maintained cache.
Regional score details / Podrobnosti regionálneho skóre
This is a regional research context, not a standalone buy or sell signal and not yet a replacement for the historically tested US market-score strategy filters.
Score scale: 70-100 Risk-on 50-69 Selective 30-49 Defensive below 30 Risk-off
Regional equity / breadth
47/60- OK FEZ above rising 200D MAOpen FEZ chart on TradingView FEZ 71.86 vs 200D MA 65.79, slope +3.7% 20/20
- OK VGK broad regional trendOpen VGK chart on TradingView VGK above 200D MA: yes, slope +3.7% 10/10
- OK IEV diversified regional trendOpen IEV chart on TradingView IEV above 200D MA: yes, slope +3.8% 6/6
- Watch EWG leadership vs VGKOpen EWG chart on TradingViewOpen VGK chart on TradingView EWG 63D return minus VGK -2.5% 0/4
- Watch EWU participation vs VGKOpen EWU chart on TradingViewOpen VGK chart on TradingView EWU 63D return minus VGK -1.0% 0/4
- OK Liquid Europe report universe above 200D MA +58.6% (1806/3082) 11/16
Global credit proxy
7/15- Watch Global high yield above rising 200D MAOpen HYG chart on TradingView HYG 200D MA slope -0.4% 0/8
- OK Global high yield stronger than IEFOpen HYG chart on TradingViewOpen IEF chart on TradingView HYG 63D return minus IEF +1.3% 7/7
Global volatility proxy
9/15- OK Global spot VIX levelOpen VIX chart on TradingView VIX 16.40; full points <=16, partial <=25 6/8
- Watch Global spot VIX below falling 200D MAOpen VIX chart on TradingView VIX 16.40 vs 200D MA 18.55, slope +4.9% 0/4
- OK Global spot VIX falling over 63DOpen VIX chart on TradingView VIX 63D return -31.8% 3/3
Regional trend confirmation
0/10- Watch FEZ weekly bull regimeOpen FEZ chart on TradingView Weekly Markov regime is not bullish 0/6
- Watch VGK weekly bull regimeOpen VGK chart on TradingView Weekly Markov regime is not bullish 0/4
Asia Market Score combines liquid Asia-region report-universe breadth and regional equity ETFs. Credit appetite and volatility use global USD proxies because comparable regional credit and volatility series are not consistently available in the maintained cache.
Regional score details / Podrobnosti regionálneho skóre
This is a regional research context, not a standalone buy or sell signal and not yet a replacement for the historically tested US market-score strategy filters.
Score scale: 70-100 Risk-on 50-69 Selective 30-49 Defensive below 30 Risk-off
Regional equity / breadth
40/60- OK AAXJ above rising 200D MAOpen AAXJ chart on TradingView AAXJ 113.53 vs 200D MA 103.94, slope +8.9% 20/20
- OK EPP broad regional trendOpen EPP chart on TradingView EPP above 200D MA: yes, slope +2.2% 10/10
- OK EWJ diversified regional trendOpen EWJ chart on TradingView EWJ above 200D MA: yes, slope +5.1% 6/6
- Watch MCHI leadership vs EPPOpen MCHI chart on TradingViewOpen EPP chart on TradingView MCHI 63D return minus EPP -6.8% 0/4
- OK EWT participation vs EPPOpen EWT chart on TradingViewOpen EPP chart on TradingView EWT 63D return minus EPP +5.5% 4/4
- Watch Liquid Asia report universe above 200D MA +39.3% (7664/19513) 0/16
Global credit proxy
7/15- Watch Global high yield above rising 200D MAOpen HYG chart on TradingView HYG 200D MA slope -0.4% 0/8
- OK Global high yield stronger than IEFOpen HYG chart on TradingViewOpen IEF chart on TradingView HYG 63D return minus IEF +1.3% 7/7
Global volatility proxy
9/15- OK Global spot VIX levelOpen VIX chart on TradingView VIX 16.40; full points <=16, partial <=25 6/8
- Watch Global spot VIX below falling 200D MAOpen VIX chart on TradingView VIX 16.40 vs 200D MA 18.55, slope +4.9% 0/4
- OK Global spot VIX falling over 63DOpen VIX chart on TradingView VIX 63D return -31.8% 3/3
Regional trend confirmation
0/10- Watch AAXJ weekly bull regimeOpen AAXJ chart on TradingView Weekly Markov regime is not bullish 0/6
- Watch EPP weekly bull regimeOpen EPP chart on TradingView Weekly Markov regime is not bullish 0/4
Broker counts are intersections with this report universe, not complete broker catalog sizes. XTB US: 3764 of 41472 report candidates. Revolut US: 3344 of 41472 report candidates. eToro US: 3675 of 41472 report candidates. IBKR US: 14064 of 41472 report candidates. Trading 212 US: 3906 of 41472 report candidates. Fio US proxy: 8860 of 41472 report candidates. Patria US proxy: 8860 of 41472 report candidates. Broker data last collected/updated: XTB US: 2026-06-02; Revolut US: 2026-06-09; eToro US: 2026-06-09; IBKR US: 2026-06-16; Trading 212 US: 2026-06-16; Fio US proxy: 2026-06-17; Patria US proxy: 2026-06-17.
Strategy presets select combinations of the indicator filters below. Badge format is backtest rank / main-page label, for example 11/2a. Rank can change after new backtests; label stays stable across pages. Fresh-entry presets show current-month setups that can stay valid for multiple daily reports; combine with New signal today to see only first appearances.
Default indicators set is available as a strategy preset above. Click an individual indicator to view it alone. All indicators set = every available indicator filter selected at the same time. Shift-click to combine multiple individual strategies or filters.
Loading full table data...
Stocks: 6 of 33388
| Ticker | Company name | Sector | Industry | Country | Exchange | Latest close | Fund. | Signal | 200D MA cross date | |
|---|---|---|---|---|---|---|---|---|---|---|
| Korean Reinsurance Company | Financial Services | Insurance - Reinsurance | KR | KSC | 14530.0 | D 53 | First seen2026-08-03Current-month · 5d | Chart | ||
| Cardinal Health, Inc. | Healthcare | Medical - Distribution | US | NYSE | 236.4 | C 56 | First seen2026-08-03Current-month · 5d | Chart | ||
| CarTrade Tech Limited | Consumer Cyclical | Auto - Dealerships | IN | BSE | 2789.85 | C 60 | First seen2026-08-03Current-month · 5d | Chart | ||
| CarTrade Tech Limited | Consumer Cyclical | Auto - Dealerships | IN | NSE | 2793.0 | C 65 | First seen2026-08-03Current-month · 5d | Chart | ||
| Laureate Education, Inc. | Consumer Defensive | Education & Training Services | US | NASDAQ | 38.34 | C 59 | First seen2026-08-03Current-month · 5d | Chart | ||
| UNI.MI profile | Unipol Assicurazioni S.p.A. | Financial Services | Insurance - Diversified | IT | MIL | 28.35 | C 64 | First seen2026-08-03Current-month · 5d | Chart |
No assets match the selected filters.
Funds: 0 of 8084
| Ticker | Company name | Sector | Industry | Country | Exchange | Latest close | Fund. | Signal | 200D MA cross date |
|---|
No assets match the selected filters.