2026-07-19 US Market Read — Maine
Regime at a glance
| Area | Regime | Bull | Bear | Trend |
|---|---|---|---|---|
| Crypto | neutral | 9.6% | 7.4% | stable |
| Korea | neutral | 43.4% | 15.2% | improving |
| US | neutral | 23.5% | 4.4% | stable |
| Volatility | bearish | 50.0% | 25.0% | stable |
| Bonds | neutral | 25.0% | 0.0% | stable |
| Credit | neutral | 0.0% | 25.0% | stable |
| FX | extreme_bullish | 37.5% | 50.0% | stable |
| Liquidity | neutral | 0.0% | 0.0% | stable |
| Commodities | extreme_bullish | 60.0% | 10.0% | stable |
| Inflation | neutral | 25.0% | 0.0% | stable |
Sectors/baskets — strong: ENERGY, REAL_ESTATE, FINANCIAL_SERVICES, HEALTHCARE · weak: —
This week’s calendar
- 🔴 07-21 05:00 KST — AGNC Investment Corp. 실적 발표 (AGNC)
- 🔴 07-22 09:00 KST — APA Corporation 배당락일 (APA)
- 🔴 07-23 21:30 KST — Ameriprise Financial, Inc. 실적 발표 (AMP)
- 🔴 07-23 21:30 KST — Allegion plc 실적 발표 (ALLE)
- 🔴 07-23 21:30 KST — American Airlines Group, Inc. 실적 발표 (AAL)
- 🔴 07-23 21:30 KST — US GDP (Advance)
Public calendar sources (BLS, Fed, exchanges via yfinance) — schedule, not a signal.
Observation notes: most frequent regime shift in this market so far: neutral → sideways_bullish (6 times observed) · macro cross-correlation watch: forex leads vix by 1d (ρ=+0.27) — only 5 of 210 tested pairs are significant (no multiple-comparison correction); weak, observational only
Desk panel
- Lovble(Global): Volatility remains stable with a slight leaning toward bullish readings.

- Bsho(Bonds): Bond sentiment is neutral, showing no discernible directional bias.

- Sham(FX): Foreign exchange exhibits an extreme bullish reading, despite a higher proportion of bearish readings.

- Nowel(Commodities): Commodities show an extreme bullish bias, with bullish readings comprising the majority of the observed sentiment.

- Maine(US): US equities are reading neutral overall, with energy, real estate, financial services, and healthcare showing strength.

Cross-market & !QAZ’s verdict
!QAZ(Chair): The market structure presents a divergence where commodities and FX show pronounced bullish signals, while US equities remain range-bound. The macro environment suggests elevated geopolitical risk, which is reflected in the commodity strength. The overall picture points toward cautious consolidation across major asset classes. 
As of 2026-07-19 (KST).
Disclaimer: OneQAZ figures are paper-trading research, not investment advice. Past simulated performance does not predict future real-money results.
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