Macro-Indicator Strategy (The 16)

OmniMetric's strategic selection of 16 multi-asset indicators designed to capture the interplay of Rates, Liquidity, Risk, and the Real Economy.

Market Impact

RISING / BULLISH

A holistic view of the global financial system.

FALLING / BEARISH

Avoids 'Information Blind Spots' common in single-asset analysis.

Context 2026

In a hypersensitive market, looking at one indicator is dangerous. We synchronize all 16 dots into a single GMS narrative.

OmniMetric Relevance

Foundational. Explains why our dashboard is structured as a 4x4 'Control Tower'.
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