Global Meltdown Index

See financial stress before it becomes a market story.

A leading-indicator early-warning system for global systemic risk and the India market regime — not another lagging market dashboard.

GFMI54HIGH_SYSTEMIC_RISKConfidence: 91%
Credit35NORMAL
Equity Fragility28STABLE
Global Liquidity42TIGHTENING
US Treasury / Sovereign87DISLOCATED
Yen Carry60UNSTABLE

India Market Regime

short term
NEUTRAL
Score: 48 · Confidence: 55%
medium term
NEUTRAL
Score: 48 · Confidence: 55%
long term
NEUTRAL
Score: 48 · Confidence: 55%

What Has Already Happened

Verified, observed data points from official and market sources — see each engine page for its leading, coincident and lagging indicator breakdown.

What May Matter Next

Forward-looking interpretation, scenario analysis and central-bank forward guidance — always labeled distinctly from verified fact. See Methodology.

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The conversational AI research agent is planned for a later phase — it requires its own LLM API key and billing, kept separate from the core risk-engine data below.

Coming soon — “Is the yen carry trade becoming dangerous?”
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IMPORTANT DISCLAIMER — This platform provides quantitative, macroeconomic and financial-stability research based on available data, official communications, historical relationships and model outputs. All market assessments, risk scores, probabilities, scenarios and India market classifications represent a CURRENT MACRO/MARKET ASSESSMENT and are NOT guaranteed forecasts, predictions or investment recommendations. Markets can change rapidly. Historical relationships may fail, data may be revised, and models may be wrong. Nothing on this platform should be interpreted as a recommendation to buy, sell or hold any security or financial product. Independently verify information and obtain qualified professional advice before making investment decisions.