Today · Panda Pulse
Good morning. Here is the day in fifteen seconds.
Saturday 25 July · London session · everything below is sample data for the demo.
Your day in 60 seconds
Trader depthMarkets are in a holding pattern into US CPI at 13:30. Gold is firm on softer real yields, the dollar is drifting, and index breadth is narrow. Nothing on your watchlist has a clean trend condition right now, so the honest read is that the day is event-driven: the setup arrives after the release, not before it.
Structure
Range
Risk tone
Neutral, leaning risk-on
Volatility
Compressed, expansion expected
- Fact
- Realised volatility on US500 sits in the 22nd percentile of the last twelve months, and the 5-day range is the narrowest since March.
- Interpretation
- Compression before a scheduled catalyst usually reflects positioning being reduced, not conviction.
- Scenario
- An expansion is more likely than continued compression once CPI lands, in either direction.
- Uncertainty
- Compression can persist for days. Volatility percentile is descriptive, not predictive, and says nothing about direction.
Panda Score
You have followed your daily loss limit for twelve sessions. Your weakest pattern remains entries taken more than 15 minutes after the level was reached.
Rule adherence 86% · 38-trade sample
One action today
Economic data and central banks
Why in-line data still moves price
7 minutes
Chosen because your journal shows three losses on release days where the print matched consensus.
Risk windows · your timezone
- 08:00LowLondon open — spreads normalise after 15 minutes
- 10:00MediumEU flash inflation, medium impact on EUR crosses
- 13:30HighUS CPI — highest-impact window of the day
- 14:30MediumUS cash open — index volatility expansion
- 19:00LowLate session, thinning liquidity
Watchlist
Market BrainXAUUSD
Real yields easing, defensive bid
2,412.60
+0.62%
EURUSD
Rate-differential drift, pre-CPI caution
1.0842
-0.18%
US500
Earnings breadth vs rate sensitivity
5,318.4
+0.24%
BTCUSD
Liquidity conditions, risk appetite
63,940
-1.35%
USDJPY
Yield gap, intervention risk
156.28
+0.31%
UKOIL
Supply headlines, demand expectations
82.14
+0.87%