The Silk Risk Dashboard
Market Panels — 2-day forecast
- if 2y-fed funds spread stays >+0.50 then yields continue up
- if VIX remains <16 then no safe-haven bid
- if geo risk score stays <0.40 then muted transmission
- if NVDA sigma stays >2.0 then ALERT leadership continues
- if direction ratio holds >0.80 then bias intact
- if 10Y yield rise stays <+10bp then limited pressure on beta
- if crude holds above $90 then broad complex supported
- if geo risk regime stays stable then no supply shock
- if USDJPY stays below 157 then commodity positive
- if rate expectations spread stays near +0.59 then limited USD bid
- if VIX <16 then risk-on supports soft USD
- if geo risk score remains 0.32 then no safe-haven flow
- if 20d corr remains >0 then LONG holds at boundary
- if BTC 30d outperformance does not revert sharply then risk-on intact
- if equity leadership persists then crypto correlation positive
Market Situation
Signals
| Asset | Class | Entry | Current | Z-Score | Window | Level | Trade |
|---|---|---|---|---|---|---|---|
| NVDA | equity | $230.36 | $230.36 | +2.07σ | 252d | alert | LONG |
| ^TNX * | equity | $4.78 | $4.78 | +1.96σ | 252d | watch | LONG |
| XLF * | equity | $58.10 | $58.10 | +1.78σ | 252d | watch | LONG |
| XLE | equity | $61.90 | $64.06 | +1.63σ | 252d | watch | LONG |
| SPY | equity | $770.19 | $770.19 | +1.54σ | 252d | watch | LONG |
| FXY | equity | $58.89 | $58.67 | — | — | held | HELD |
| GLD | commodity | $412.30 | $406.77 | — | — | held | HELD |
| IWM | equity | $302.46 | $296.01 | — | — | held | HELD |
| MSFT | equity | $509.31 | $499.70 | — | — | held | HELD |
| QQQ | equity | $717.39 | $718.96 | — | — | held | HELD |
| AVAX-USD | crypto | $9.90 | $7.69 | — | — | held | HELD |
| ADA-USD | crypto | $0.27 | $0.22 | — | — | held | HELD |
Risk
Geopolitical Risk
Contained proxy tensions in the Middle East and positional stalemate in Ukraine show limited market coupling, with diplomatic signaling and stable physical flows keeping energy and risk premia in check; second-order FX and rates effects remain muted pending orthogonal confirmation.
Iran-backed proxy actions in Lebanon/Yemen met with measured Israeli responses amid backchannel talks
Russia-Ukraine front-line attrition with intermittent ceasefire proposals from both sides
Routine Chinese naval patrols near Taiwan without escalation triggers
Sudden closure of Strait of Hormuz from direct Iran-Israel strike
Invalidate if: Visible de-escalation via US-China facilitated talks or independent verification of reduced naval posturing and resumed JCPOA-adjacent diplomacy
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 (207d) | 138/319 | 43% [38%-49%] | +65.8% | Longs only |
| Recent (7d) | 1/4 | 25% [5%-70%] | -1.9% | Longs only |
| OOS Sharpe | 0.52 (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 (214d) | 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 (214d) | 213/461 | 46% [42%-51%] | +47.4% | Longs only |
| Recent (7d) | 1/4 | 25% [5%-70%] | -1.9% | Longs only |
| OOS Sharpe | 0.52 (annualized, trade-level) | Longs only | ||