🧭Macro Score 2026-08-24

A 100-point backdrop score across growth, policy, earnings, liquidity, risk and technicals.

Total 72.5 / 100 Β· Posture: Tailwind (2026-08-24)
CategoryValueScoreNote
Macro17 / 20
β”” GDP growth (ann.)1.53 / 5
β”” Core CPI YoY2.55 / 5
β”” Unemployment4.15 / 5
β”” PMI (mfg+svc avg)54.94 / 5
Monetary policy14 / 25
β”” Real rate (FFR βˆ’ core CPI)1.258 / 8neutral zone 0–1.5%
β”” Policy stance & guidanceHawkish bias3 / 10model judgment
β”” Communication vs marketGuidance gaps3 / 7model judgment
Earnings16 / 20
β”” EPS growth YoY %50.45 / 5
β”” Forward P/E204 / 810-yr avg β‰ˆ 17–18
β”” Earnings qualityβ€”4 / 4model judgment
β”” EPS beat rate %863 / 3
Liquidity9 / 10
β”” IG credit spread OAS %0.814 / 4
β”” M2 YoY %5.533 / 3overheating also penalised
β”” Financial conditionsβ€”2 / 3proxied by spreads + M2
Policy & geopolitics7.5 / 15
β”” Domestic policy riskPolicy noise4.5 / 7.5model judgment
β”” Geopolitical riskIran conflict3 / 7.5model judgment
Sentiment & technicals9 / 10
β”” VIX regime15.133 / 4low = seller regime, high = oversold signals active; not directional
β”” Trend (200-day, SPY+QQQ)23 / 3the only trend state that passed FDR
β”” Flows / rotation / volumemodel judgment3 / 3volume ratio + rotation dispersion + breadth; conditions, not direction

Weeks-to-months backdrop, not an overnight signal. Being forward-tested; it does not drive any order.

Full report: Morning report Β· Evening report

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Research output, not investment advice.