The Silk Risk Dashboard
Market Panels — 2-day forecast
- 10Y yield breaks above 4.55%
- 2s/10s spread narrows below 40bp
- Consumer sentiment rebounds above 52
- SOXX holds above current +2.5σ level
- IWM momentum score remains above 60
- VIX closes below 18
- Crude oil holds above $74.50
- PDBC reverses at least 0.8% higher
- Gold finds support above $4100
- EURUSD breaks below 1.14
- USDCNY holds below 6.80
- DXY rises above 102
- BTC holds above $61000
- Perpetual funding rate stays neutral
- BTC/NDX correlation remains positive
Market Situation
Signals
| Asset | Class | Entry | Current | Z-Score | Window | Level | Trade |
|---|---|---|---|---|---|---|---|
| SOXX | equity | $599.73 | $599.73 | +2.52σ | 252d | alert | LONG |
| AMD | equity | $512.48 | $512.48 | +2.50σ | 252d | alert | LONG |
| PDBC | equity | $16.54 | $16.54 | -2.13σ | 30d | alert | SHORT |
| IWM | equity | $289.88 | $289.88 | +2.01σ | 252d | alert | LONG |
| TSM | equity | $432.15 | $432.15 | +1.95σ | 252d | watch | LONG |
| EURUSD=X * | equity | $1.15 | $1.15 | -1.77σ | 30d | watch | SHORT |
| CNY=X | equity | $6.76 | $6.76 | -1.61σ | 252d | watch | SHORT |
| AVAX-USD | crypto | $9.90 | $6.02 | — | — | held | HELD |
| ADA-USD | crypto | $0.27 | $0.16 | — | — | held | HELD |
Risk
Geopolitical Risk
Diplomatic initiatives are tempering major conflict risks in Europe and the Middle East, keeping overall market transmission low; however, Indo-Pacific frictions and energy vulnerabilities warrant monitoring for second-order effects on FX, commodities, and risk premia in the 7-30 day window.
Incremental progress in Russia-Ukraine peace talks but persistent risks to gas pipelines
Iran-Israel tensions over nuclear sites with active backchannel communications
Chinese military drills near Taiwan amid US arms sales
Russian withdrawal from peace talks leading to renewed winter energy crisis in Europe
Invalidate if: Observation of continued high-level diplomatic meetings or visible Russian troop withdrawals
Finance View — Three Sheets
docs/research/finance_view_validation_2022-2025.md. Sleeve Ledger — Money Management
| Sleeve | Target | Buffer | Admission cap |
|---|---|---|---|
| silk_commodity_etf | 40% | +5pp | $27,000 |
| silk_commodity_futures | 40% | +5pp | $27,000 |
| silk_crypto | 20% | +5pp | $15,000 |
| silk_equity | 40% | +5pp | $27,000 |
| silk_futures | 10% | +5pp | $9,000 |
MM policy vv1.1 is the active production schema since 2026-06-10. Pre-2026-06-10 OOS / trade-log / backtest data is preserved unmodified — equity-curve rows are tagged pre_v1.0 for dates before policy lock. Source: docs/research/money_management_hybrid.md + docs/2026-05-21_sleeves_status.md.
Metrics
Core (Equity)
Commodities
Crypto
Combined
Performance Scorecard
Core Forecast
| Window | Wins/Total | Rate | Return | Stats Coverage |
|---|---|---|---|---|
| Backtest (1042d) | 574/1292 | 44% [42%-47%] | +359.7% | Longs only |
| Out of Sample (129d) | 92/185 | 50% [43%-57%] | +164.1% | Longs only |
| Recent (7d) | 5/6 | 83% [44%-97%] | +14.3% | Longs only |
| OOS Sharpe | 1.33 (annualized, trade-level) | Longs only | ||
Commodity OOS
| Window | Wins/Total | Rate | Return | Stats Coverage |
|---|---|---|---|---|
| Backtest (2089d) | 2274/4959 | 46% [44%-47%] | +183.7% | Longs only |
| Out of Sample (135d) | 75/142 | 53% [45%-61%] | +6.2% | Longs only |
| OOS Sharpe | 0.51 (annualized, trade-level) | Longs only | ||
Crypto OOS
| Window | Wins/Total | Rate | Return | Stats Coverage |
|---|---|---|---|---|
| Out of Sample (1386d) | 116/264 | 44% [38%-50%] | +12.4% | Longs only |
| Recent (8d) | 7/12 | 58% [32%-81%] | +3.8% | Longs only |
| OOS Sharpe | -0.72 (annualized, trade-level) | Longs only | ||
Combined
| Window | Wins/Total | Rate | Return | Stats Coverage |
|---|---|---|---|---|
| Backtest (2089d) | 2848/6251 | 46% [44%-47%] | +220.1% | Longs only |
| Out of Sample (1386d) | 283/591 | 48% [44%-52%] | +58.4% | Longs only |
| Recent (8d) | 12/18 | 67% [44%-84%] | +7.3% | Longs only |
| OOS Sharpe | 0.21 (annualized, trade-level) | Longs only | ||