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Risk-On / Risk-Off Score

Risk-On / Risk-Off Score (Macro Sentiment Indicator)
This indicator calculates a custom Risk-On / Risk-Off Score to objectively assess the current market risk sentiment using a carefully selected basket of macroeconomic assets and intermarket relationships.
🧠 What does this indicator do?
The score is based on 14 key components grouped into three categories:
🟢 Risk-On Assets (rising = appetite for risk)
(+1 if performance over X days is positive, otherwise –1)
NASDAQ 100 (NAS100USD)
S&P 500 (SPX)
Bitcoin (BTCUSD)
Copper (HG1!)
WTI Crude Oil (CLK2025)
🔴 Risk-Off Assets (rising = flight to safety)
(–1 if performance is positive, otherwise +1)
Gold (XAUUSD)
US Treasury Bonds (TLT ETF) (TLT)
US Dollar Index (DXY)
USD/CHF
USD/JPY
US 10Y Yields (US10Y) (yields are interpreted inversely)
⚖️ Risk Spreads / Relative Indicators
(+1 if rising, –1 if falling)
Copper/Gold Ratio → HG1! / XAUUSD
NASDAQ/VIX Ratio → NAS100USD / VIX
HYG/TLT Ratio → HYG / TLT
📏 Score Calculation
Total score = sum of all components
Range: from –14 (extreme Risk-Off) to +14 (strong Risk-On)
Color-coded output:
🟢 Score > 2 = Risk-On
🟠 –2 to +2 = Neutral
🔴 Score < –2 = Risk-Off
Displayed as a line plot with background color and signal markers
🧪 Timeframe of analysis:
Default: 5 days (adjustable via input)
Calculated using Rate of Change (% change)
🧭 Use Cases:
Quickly assess macro sentiment
Filter for position sizing, hedging, or intraday bias
Especially useful for:
Swing traders
Day traders with macro filters
Volatility and options traders
📌 Note:
This is not a buy/sell signal indicator, but a contextual sentiment tool designed to help you stay aligned with overall market conditions.
This indicator calculates a custom Risk-On / Risk-Off Score to objectively assess the current market risk sentiment using a carefully selected basket of macroeconomic assets and intermarket relationships.
🧠 What does this indicator do?
The score is based on 14 key components grouped into three categories:
🟢 Risk-On Assets (rising = appetite for risk)
(+1 if performance over X days is positive, otherwise –1)
NASDAQ 100 (NAS100USD)
S&P 500 (SPX)
Bitcoin (BTCUSD)
Copper (HG1!)
WTI Crude Oil (CLK2025)
🔴 Risk-Off Assets (rising = flight to safety)
(–1 if performance is positive, otherwise +1)
Gold (XAUUSD)
US Treasury Bonds (TLT ETF) (TLT)
US Dollar Index (DXY)
USD/CHF
USD/JPY
US 10Y Yields (US10Y) (yields are interpreted inversely)
⚖️ Risk Spreads / Relative Indicators
(+1 if rising, –1 if falling)
Copper/Gold Ratio → HG1! / XAUUSD
NASDAQ/VIX Ratio → NAS100USD / VIX
HYG/TLT Ratio → HYG / TLT
📏 Score Calculation
Total score = sum of all components
Range: from –14 (extreme Risk-Off) to +14 (strong Risk-On)
Color-coded output:
🟢 Score > 2 = Risk-On
🟠 –2 to +2 = Neutral
🔴 Score < –2 = Risk-Off
Displayed as a line plot with background color and signal markers
🧪 Timeframe of analysis:
Default: 5 days (adjustable via input)
Calculated using Rate of Change (% change)
🧭 Use Cases:
Quickly assess macro sentiment
Filter for position sizing, hedging, or intraday bias
Especially useful for:
Swing traders
Day traders with macro filters
Volatility and options traders
📌 Note:
This is not a buy/sell signal indicator, but a contextual sentiment tool designed to help you stay aligned with overall market conditions.
开源脚本
本着TradingView的真正精神,此脚本的创建者将其开源,以便交易者可以查看和验证其功能。向作者致敬!虽然您可以免费使用它,但请记住,重新发布代码必须遵守我们的网站规则。
免责声明
这些信息和出版物并不意味着也不构成TradingView提供或认可的金融、投资、交易或其它类型的建议或背书。请在使用条款阅读更多信息。
开源脚本
本着TradingView的真正精神,此脚本的创建者将其开源,以便交易者可以查看和验证其功能。向作者致敬!虽然您可以免费使用它,但请记住,重新发布代码必须遵守我们的网站规则。
免责声明
这些信息和出版物并不意味着也不构成TradingView提供或认可的金融、投资、交易或其它类型的建议或背书。请在使用条款阅读更多信息。