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The Macro page is the most-used page in auramarkets. It’s where you go to read the market — what regime are we in, what just changed, what’s the cross-asset story.

Layout

Three columns:
  • Left rail — navigation between views (Calendar, Cross-Asset, CTA, VRP, Credit, Oil, QFI, Daily Recap). Click any one to swap the center pane.
  • Center pane — the active view. Default is the macro dashboard: the Cross Asset Monitor table, two always-on ambient strips (Credit verdict + CTA Pulse — each a one-row summary that clicks through to its full view), upcoming events, and the Deep Dive signal charts.
  • Right rail (Market Pulse) — always visible, no matter which view you’re in. The live cross-asset snapshot and AI feed.
The default view is yours to arrange: the header’s Layout button reorders or removes any section — and the Pulse rail itself can be removed if you want the full width.

What’s available in the left rail

Calendar

Economic releases, options expiry, Fed events, and Treasury supply — with recent actuals. Sub-views for Yield Curve, Crude Curve, VIX Curve, SOFR Curve.

Cross Asset Monitor

A category board across equities, rates, FX, credit, commodities, and crypto — customize each category via its gear.

CTA Trend Following

The trend-following model and its tier signals.

VRP Vol Harvesting

The vol risk premium model — harvest vs hibernate regime.

Credit Monitor

Corporate bond spreads, verdict-first — is credit telling you something equities aren’t?

Oil dashboard

Crude term structure, refining margins, positioning.

QFI

Quantum Fear Index — composite tail-risk gauge.

Daily Recap

End-of-day arc, what mattered, cross-asset verdict, tomorrow’s setup.

The economic calendar

The Calendar view tracks the events that move markets, in four buckets:
  • Data releases — CPI, NFP, FOMC, PCE, GDP, Retail Sales, ISM (Mfg + Services), PPI, JOLTS, consumer sentiment. Recent ones show consensus / previous / actual.
  • Options & market structuremonthly options expiry, quad witching (the quarterly index-and-options expiry), VIX settlement, and the annual Russell reconstitution.
  • Fed — the rate decision, FOMC minutes, Jackson Hole, and semiannual testimony.
  • Treasury — the quarterly refunding announcement (issuance sizes / duration supply).
Events are tiered — Big Three (NFP / CPI / FOMC), Tier 1 (high-impact), Tier 2 (routine) — and colour-coded by category. The recurring ones (expiry, witching, etc.) compute their own dates, so the calendar stays current on its own.
These scheduled catalysts also feed the AI: the Market Pulse briefing flags imminent big events (“FOMC tomorrow — binary risk”), and the Daily Recap’s tomorrow’s setup pulls its catalysts straight from the calendar.

What’s always on the right (Market Pulse)

The Pulse sidebar stays pinned no matter which view you select on the left. It’s the live read of right-now. How to read Market Pulse

How most people use it

  1. Open Macro in the morning. Check Pulse for overnight + pre-market.
  2. Skim the Daily Recap for yesterday if you missed the close.
  3. Click into Cross-Asset or a model (CTA / VRP / QFI) when you want to dig into a specific question.
  4. Come back through the day; Pulse refreshes throughout.