Market Environment Analysis

by wind-alice213b170db8a3No licenseListed Oct 8, 2026Updated Oct 8, 2026

Comprehensive market environment analysis and reporting tool. Analyzes global markets including US, European, Asian markets, forex, commodities, and economic indicators. Provides risk-on/risk-off assessment, sector analysis, and technical indicator interpretation. Triggers on keywords like market analysis, market environment, global markets, trading environment, market conditions, investment climate, market sentiment, forex analysis, stock market analysis, 相場環境, 市場分析, マーケット状況, 投資環境.

AI-generated overview

Analyzes global market conditions across stocks, forex, commodities and indicators, then produces structured market reports.

What it does
Collects market data such as major indices, forex rates, commodity prices, Treasury yields and the VIX, then assesses trend direction, risk-on/risk-off sentiment, volatility and sector rotation. It formats the findings into a standard report with an executive summary, regional market overviews, forex and commodity trends, key events, risk factors and strategy implications. It ships a Python utility script for report headers, market session times, VIX categorization and percentage formatting, plus reference documents on indicators and analysis patterns.
When to use it
Use it when you need a periodic read on the global trading environment, such as a daily or weekly market summary, or when interpreting risk sentiment and volatility for investment decisions. It also fits requests for forex, stock or commodity market commentary tailored to a particular trading style.
Requirements
Needs a web search tool to gather current market data, a Python runtime to run scripts/market_utils.py, and access to the bundled reference documents. No credentials are specified.

Market Environment Analysis

Comprehensive analysis tool for understanding market conditions and creating professional market reports anytime.

Core Workflow

1. Initial Data Collection

Collect latest market data using web_search tool:

  1. Major stock indices (S&P 500, NASDAQ, Dow, Nikkei 225, Shanghai Composite, Hang Seng)
  2. Forex rates (USD/JPY, EUR/USD, major currency pairs)
  3. Commodity prices (WTI crude, Gold, Silver)
  4. US Treasury yields (2-year, 10-year, 30-year)
  5. VIX index (Fear gauge)
  6. Market trading status (open/close/current values)

2. Market Environment Assessment

Evaluate the following from collected data:

  • Trend Direction: Uptrend/Downtrend/Range-bound
  • Risk Sentiment: Risk-on/Risk-off
  • Volatility Status: Market anxiety level from VIX
  • Sector Rotation: Where capital is flowing

3. Report Structure

Standard Report Format:
1. Executive Summary (3-5 key points)2. Global Market Overview   - US Markets   - Asian Markets   - European Markets3. Forex & Commodities Trends4. Key Events & Economic Indicators5. Risk Factor Analysis6. Investment Strategy Implications

Script Usage

market_utils.py

Provides common functions for report creation:

bash
# Generate report headerpython scripts/market_utils.py
# Available functions:- format_market_report_header(): Create header- get_market_session_times(): Check trading hours- categorize_volatility(vix): Interpret VIX levels- format_percentage_change(value): Format price changes

Reference Documentation

Key Indicators Interpretation (references/indicators.md)

Reference when you need:

  • Important levels for each index
  • Technical analysis key points
  • Sector-specific focus areas

Analysis Patterns (references/analysis_patterns.md)

Reference when analyzing:

  • Risk-on/Risk-off criteria
  • Economic indicator interpretation
  • Inter-market correlations
  • Seasonality and market anomalies

Output Examples

Quick Summary Version

📊 Market Summary [2025/01/15 14:00]━━━━━━━━━━━━━━━━━━━━━【US】S&P 500: 5,123.45 (+0.45%)【JP】Nikkei 225: 38,456.78 (-0.23%)【FX】USD/JPY: 149.85 (↑0.15)【VIX】16.2 (Normal range)
⚡ Key Events- Japan GDP Flash- US Employment Report
📈 Environment: Risk-On Continues

Detailed Analysis Version

Start with executive summary, then analyze each section in detail. Key clarifications:

  1. Current market phase (Bullish/Bearish/Neutral)
  2. Short-term direction (1-5 days outlook)
  3. Risk events to monitor
  4. Recommended position adjustments

Important Considerations

Timezone Awareness

  • Consider all major market timezones
  • US markets: Evening to early morning (Asian time)
  • European markets: Afternoon to evening (Asian time)
  • Asian markets: Morning to afternoon (Local time)

Economic Calendar Priority

Categorize by importance:

  • ⭐⭐⭐ Critical (FOMC, NFP, CPI, etc.)
  • ⭐⭐ Important (GDP, Retail Sales, etc.)
  • ⭐ Reference level

Data Source Priority

  1. Official releases (Central banks, Government statistics)
  2. Major financial media (Bloomberg, Reuters)
  3. Broker reports
  4. Analyst consensus estimates

Troubleshooting

Data Collection Notes

  • Check market holidays (holiday calendars)
  • Be aware of daylight saving time changes
  • Distinguish between flash and final data

Market Volatility Response

  1. First organize the facts
  2. Reference historical similar events
  3. Verify with multiple sources
  4. Maintain objective analysis

Customization Options

Adjust based on user's investment style:

  • Day Traders: Intraday charts, order flow focus
  • Swing Traders: Daily/weekly technicals emphasis
  • Long-term Investors: Fundamentals, macro economics focus
  • Forex Traders: Currency correlations, interest rate differentials
  • Options Traders: Volatility analysis, Greeks monitoring

Source and attribution

Source:wind-alice/alicemarketinskills/market-environment-analysisat commit213b170

License: No license

Content belongs to its original authors. SourceWeft indexes it from a public repository.

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