Macro Geopolitical Risk Dashboard v2 - UI📊 Purpose of the Dashboard
The script measures real-time geopolitical risk for financial markets, with a focus on:
Taiwan
Energy (oil)
Global risk-off dynamics
⚙️ What It Does
It combines multiple market indicators into a single Risk Score (0–100):
Input Signals:
VIX → market stress
Oil forward curve → geopolitical supply pressure
USD/TWD → Taiwan / capital flow risk
SOX vs SPX → semiconductor weakness (Taiwan signal)
Taiwan vs SPX → regional underperformance
Gold → safe-haven demand
DXY → dollar strength / stress
SPX momentum → overall market direction
🧠 Output
👉 The model calculates:
1. Risk Score
0–35 → Normal
35–55 → Elevated
55–75 → High Risk
75+ → Crisis
2. Market Regime
Risk-Off → defensive phase
Crisis → acute escalation
Recovery → normalization
3. Visual Signals
Traffic-light colors (green / orange / red)
Table with indicator status
Chart markers for regime shifts
🎯 In Short
👉 This dashboard is a
real-time early warning system for geopolitical market stress
It helps you identify:
when risk is building
when markets are turning
when stress is fading
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