Asset Comparisons
Side-by-side analysis of 20 key asset pairs. Compare relative performance, correlation, money flow, and risk across markets.
Cross-Asset
Stock-bond ratio — a core macro regime indicator
Safe-haven gold vs risk-on equities — the classic fear gauge
Risk-on digital vs risk-off traditional store of value
Crypto's beta against the broad US equity market
Gold vs silver — precious metals relative strength and industrial demand signal
Copper-to-gold ratio — a proxy for global growth expectations
Sector & Style
US vs UK equities — transatlantic relative performance
Developed vs emerging markets — global capital flow direction
Nasdaq vs Dow — growth vs value large-cap divergence
Large-cap vs small-cap — breadth and risk appetite indicator
Semiconductors vs broader Nasdaq — chip cycle leadership signal
Growth-heavy tech vs rate-sensitive financials — sector rotation barometer
Consumer discretionary vs staples — a read on consumer confidence