Nova Exchange Intelligence

Macro Lab Control Center

Monitor global liquidity, regional flows, and scenario-based stress tests in a high fidelity macro surveillance environment. All numbers are synthetic for design exploration.

World Growth Pulse

64.2 +0.60%

Global Liquidity

+1.80%

$5T

Liquidity adjusted for inflation expectations

Composite Growth Pulse

+0.60%

64.2

Composite signal built from 44 macro factors

Energy Shock Index

-0.40%

18.4

Composite signal built from 44 macro factors

Real Yield Momentum

-0.18%

2.35%

Real yields derived from inflation-linked curves

Supply Chain Stress

-1.60%

42.8

Composite signal built from 44 macro factors

Risk Appetite Gauge

+2.10%

73.1

Composite signal built from 44 macro factors

Regional Flow Matrix

Explore where capital is rotating and how active funds are reacting at a glance.

North America

482 active multi-strategy funds

$820B Rolling 24h notionals

Europe

355 active multi-strategy funds

$560B Rolling 24h notionals

Asia-Pacific

648 active multi-strategy funds

$965B Rolling 24h notionals

Latin America

171 active multi-strategy funds

$205B Rolling 24h notionals

Macro Tape

Most relevant developments bubbling up across macro desks.

  • 12:05
    Fed swaps reprice faster cuts

    Futures point to 68 bps of easing priced for Q4, raising liquidity expectations.

    high
  • 11:52
    Oil reverses gains

    Brent back below $84 as supply risk eases, pressure on energy heavy economies fades.

    medium
  • 11:20
    Eurozone PMIs surprise

    Manufacturing climbs to 51.8, first expansionary print in 18 months.

    medium
  • 10:44
    CN credit impulse accelerates

    New credit creation jumps 12%, buoying regional growth proxies and metals complex.

    high
  • 10:13
    Emerging FX bid returns

    Broad EM currency basket adds 0.8%, supporting carry trades.

    low

Scenario Radar

Probabilistic scoring of forward-looking macro regimes built from blended signal sets.

78 Score

Soft Landing Extension

Growth momentum stabilises while inflation pressures stay contained, keeping policy paths gradual.

  • Services PMI > 50
  • Real wage growth positive
  • Credit spreads below 130 bps
31 Score

Energy Shock Re-Ignition

Geopolitical flare-ups send energy and freight costs sharply higher, forcing central banks to stay hawkish.

  • Brent above $95
  • Baltic Dry +40%
  • Inflation breakevens > 2.8%
22 Score

Liquidity Crunch

Funding markets seize as cross currency bases widen and repo fails increase, pressuring risky assets.

  • USD funding stress
  • Repo fails +18%
  • Corporate issuance slows