The Silk Risk Dashboard
Market Panels — 2-day forecast
- 10Y breaks above 4.85% on tightening confirmation
- 2s/10s spread compresses below +40bp
- any CPI/Fed speak surprise dovish → yields reverse down
- VIX sustains above 18
- IWM extends below -2σ
- SPY reclaims prior high → invalidates bear lean
- CORN closes below prior session low
- WEAT breaks 5d mean
- fresh grain supply-shock headline → invalidates reversion
- EUR/USD breaks below 1.155
- DXY proxy strengthens with 10Y above 4.80%
- dovish Fed repricing → USD reverses down
- no block boundary in next 2 days → state locked LONG
- BTC holds above $74k support
- next boundary correlation sign flip → would trigger FLAT
Market Situation
Signals
| Asset | Class | Entry | Current | Z-Score | Window | Level | Trade |
|---|---|---|---|---|---|---|---|
| CORN | equity | $20.29 | $20.29 | +3.53σ | 252d | critical | SHORT |
| WEAT | equity | $28.00 | $28.00 | +2.94σ | 252d | alert | LONG |
| XLE | equity | $61.90 | $64.77 | +1.95σ | 60d | watch | LONG |
| MSFT | equity | $509.40 | $501.02 | +1.71σ | 252d | watch | LONG |
| IWM * | equity | $302.46 | $290.57 | -1.53σ | 30d | watch | SHORT |
| AVAX-USD | crypto | $9.90 | $7.11 | — | — | held | HELD |
| ADA-USD | crypto | $0.27 | $0.19 | — | — | held | HELD |
Risk
Geopolitical Risk
Tensions remain contained across Middle East proxies, Eastern Europe winter energy posturing, and Indo-Pacific drills with primary transmission via oil and natgas nodes; second-order effects on EUR funding and gold are modest while diplomatic backchannels and diversified supply keep escalation cones narrow.
Houthi-Red Sea shipping incidents test fragile truce with limited port disruptions
Russia signals tighter natgas flows to Europe ahead of winter without full cutoff
Chinese live-fire drills near Taiwan with US freedom-of-navigation response
Direct kinetic exchange between Iran and Israel closing Strait of Hormuz for 7+ days
Invalidate if: US-China coordinated diplomatic intervention leads to verified de-escalation summit
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
No backtest summary available.
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 (203d) | 136/313 | 43% [38%-49%] | +69.5% | Longs only |
| Recent (7d) | 3/6 | 50% [19%-81%] | +1.2% | Longs only |
| OOS Sharpe | 0.54 (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 (210d) | 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 |
|---|---|---|---|---|
| Backtest (2396d) | 42/69 | 61% [49%-72%] | +821.2% | Longs only |
Combined
| Window | Wins/Total | Rate | Return | Stats Coverage |
|---|---|---|---|---|
| Backtest (2396d) | 2890/6320 | 46% [45%-47%] | +226.7% | Longs only |
| Out of Sample (210d) | 211/455 | 46% [42%-51%] | +49.7% | Longs only |
| Recent (7d) | 3/6 | 50% [19%-81%] | +1.2% | Longs only |
| OOS Sharpe | 0.53 (annualized, trade-level) | Longs only | ||