Market Volatility Indicator
Last Update: 27/02/2026
The Market Volatility Indicator is a proprietary tool designed to measure real-time turbulence across major global financial markets. It operates on a scale from 1 (extreme volatility) to -1 (minimal volatility), providing an immediate reading of market risk sentiment and stability. Thanks to its synthetic structure, the indicator helps identify phases of stress or calm in financial markets, supporting analysts, investors, and portfolio managers in shaping trading strategies and assessing macro-financial conditions.
0.950
VALUE: High Volatility
TREND (10 days): INCREASING
MAX 1 YEAR: 0.950
MIN 1 YEAR: -0.950
