Market condition index · Current read
Classifies the current volatility regime by combining implied volatility (VIX), realized volatility of the S&P 500, the VIX term structure slope, and cross-asset volatility via currency vol. Output is a regime label: Suppressed, Normal, Elevated, or Crisis.
No official publication available. The owner exposes typed absence and does not substitute a mutable measurement, legacy close, or cached score.
Official closes earn richer presentation. The selected current read is never spliced into certified history.
No certified official-close history yet. No line is drawn.
Only exact governed relationships are navigable. Shared tickers and price moves never create a link.
No Basket, Narrative, or Asset context is inferred from inputs, tickers, price moves, or static “related” lists.
Declared weights explain construction. They do not claim today's contribution or causal impact.
No static registry or runtime measurement replaces the missing exact definition.
Informational only — not investment advice. MarketSchema is not a registered investment adviser. Condition Percentile reads and indexes are quantitative measurements derived from public market data, not recommendations to buy or sell any security.