Should I Be Trading? Market Environment Dashboard
Investing & FinanceCowork●●●Advancedmarket environmentswing tradingVIXmarket breadthmomentumdashboardinvesting
Prompt
Build a live Bloomberg Terminal-style market dashboard called 'Should I Be Trading?' that scores the current market environment for swing traders.
Score these 5 categories 0-100:
VOLATILITY (25% weight): VIX level and 5-day trend, VIX 1-year percentile, put/call ratio estimate from VIX regime
TREND (20% weight): SPY vs 20/50/200-day moving averages, QQQ vs 50-day, SPY 14-day RSI, classify as uptrend/downtrend/chop
BREADTH (20% weight): % of stocks above 20d/50d/200d moving averages, NYSE advance/decline ratio, Nasdaq new highs vs new lows
MOMENTUM (25% weight): All 11 S&P sector ETFs ranked by 1/3/6 month performance, top 3 vs bottom 3 spread, % of stocks making higher highs
MACRO (10% weight): 10-year yield level and trend, DXY trend, Fed stance, flag if FOMC within 72 hours
Combine into a weighted Market Quality Score. Display decision: 80-100 = YES (full size), 60-79 = CAUTION (half size, A+ setups only), below 60 = NO (preserve capital).
Dark background, green/red/amber indicators, monospace font, auto-refresh. Include scrolling ticker bar at top and a plain-English summary of the environment.Generate sample demo data
Sample finance data with plan, actual, variance, and driver notes.