The Silk Risk Dashboard
Market Panels — 2-day forecast
- 10Y closes below 4.50
- 2s/10s spread widens >5bp
- MOVE index falls below 64
- Russell2000 falls >0.8%
- VIX rises above 18.0
- breadth momentum drops below -7
- Lithium gains >2%
- Crude holds above 73.50
- broad commodity index +1%
- EURUSD breaks above 1.145
- USDJPY fails to clear 163
- USDCNY rises above 6.82
- BTC breaks above 64000
- ETH/BTC ratio rises >1%
- VIX stays below 18
Market Situation
Signals
| Asset | Class | Entry | Current | Z-Score | Window | Level | Trade |
|---|---|---|---|---|---|---|---|
| EURUSD=X * | equity | $1.14 | $1.14 | -2.00σ | 252d | alert | SHORT |
| ^TNX * | equity | $4.57 | $4.57 | +1.97σ | 252d | watch | LONG |
| AMD | equity | $517.41 | $517.41 | +1.96σ | 252d | watch | LONG |
| ALB * | equity | $129.38 | $129.38 | -1.87σ | 60d | watch | SHORT |
| IJR | equity | $143.69 | $143.69 | +1.80σ | 252d | watch | LONG |
| IWM | equity | $294.57 | $293.48 | +1.76σ | 252d | watch | LONG |
| TSM | equity | $436.98 | $436.98 | +1.68σ | 252d | watch | LONG |
| SOXX | equity | $562.03 | $562.03 | +1.64σ | 252d | watch | LONG |
| IHI | equity | $51.87 | $51.26 | — | — | held | HELD |
| AVAX-USD | crypto | $9.90 | $6.69 | — | — | held | HELD |
| ADA-USD | crypto | $0.27 | $0.17 | — | — | held | HELD |
Risk
Geopolitical Risk
Persistent but contained state tensions in Ukraine, the Persian Gulf, and East Asia show limited market transmission so far, with oil and natgas curves largely flat and safe-haven flows modest. Independent flows and options data corroborate low coupling, while diplomatic signaling supports de-escalation pathways over the 7-30 day window.
Iranian naval maneuvers and proxy clashes amid stalled nuclear talks
Drone strikes on Russian and Ukrainian energy infrastructure ahead of winter
Philippines-China vessel confrontation and joint US patrols
State-linked cyber campaign targeting European LNG terminals
Invalidate if: No anomalous spikes in European natgas volatility or physical freight rates, with public attribution remaining absent
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 (149d) | 107/229 | 47% [40%-53%] | +145.8% | Longs only |
| Recent (7d) | 3/8 | 38% [14%-69%] | -6.4% | Longs only |
| OOS Sharpe | 1.07 (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 (155d) | 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 (1410d) | 116/264 | 44% [38%-50%] | +12.4% | 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 (1410d) | 298/635 | 47% [43%-51%] | +59.1% | Longs only |
| Recent (7d) | 3/8 | 38% [14%-69%] | -6.4% | Longs only |
| OOS Sharpe | 0.20 (annualized, trade-level) | Longs only | ||