When you worry about a stock market bubble, this tool helps you check the risk using hard numbers. It looks at key data like the Put/Call ratio, VIX fear index, margin debt, market breadth, and IPO activity. It avoids gut feelings and uses a strict two-step process: first collect all the data, then score it mechanically. A final qualitative adjustment is limited to prevent overconfidence bias. This skill is for anyone who wants clear, data-driven answers about market valuation or profit-taking timing.
The system follows the revised Minsky/Kindleberger framework v2.1. It forces you to gather real numbers before any scoring begins. Each indicator has specific thresholds, so results are consistent and repeatable. You get a risk phase from low to extreme, plus concrete guidance for investment decisions.
Global
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