Composite: 62.8% (Nearly Crash)
Regime: risk off
Geopolitical: 61.3% (Severe)
Market insight: Financial Composite and Overall Gauges are 63.4% and 62.8% (Nearly Crash), Geopolitical Layer is 61.3% (Severe). Tariffs and canal port seizures are top geopolitical drivers. These severe geopolitical risks heavily influence the market.