Global dashboard
Global macro conditions
Cross-country regime classification, risk heatmaps, inflation pressure, fiscal stress, external vulnerability, and market/commodity snapshots.
Average macro risk
43.5/100
Weighted average across MVP countries.
Countries covered
10
United States, Canada, Euro Area, China, Japan, UK, Germany, India, Brazil, Mexico.
Regime mix
Live summary
Disinflationary growth: 5 - Expansion: 4 - Fiscal stress: 1
Country risk heatmap
41.8
Disinflationary growth
43
Expansion
42.3
Expansion
36.9
Disinflationary growth
46.4
Fiscal stress
46.7
Disinflationary growth
41.8
Expansion
38.1
Disinflationary growth
49.1
Disinflationary growth
48.9
Expansion
Top inflation risk
Top fiscal stress
Top external vulnerability
Commodity snapshot: oil
Source: Demo data module - Demo data, not live.
Global market snapshot
S&P 500 proxy
5,340.0
Change: 4.2
VIX proxy
15.8
Change: -1.1
U.S. 10-year yield
4.4%
Change: 0.3 pp
DXY proxy
104.2
Change: 2.1
AI-generated global outlook summary
Global risk is moderate in demo mode, with country-specific fiscal and external vulnerabilities still worth monitoring. Forecasts, classifications, and risk scores are for research, education, and decision-support only. They are not investment, legal, tax, or financial advice.
Latest U.S. CPI demo value: 2.8%.