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The widest calibrated expected moves across 1,456 instruments, refreshed daily. Each row shows the rv14-sized 60/80/95 band around the issue price — the same envelope our symbol pages and track record use — as a symmetric ±% and an absolute price range, alongside how often that symbol’s band has contained the terminal close over the last 15 forecasts. This is a magnitude view: it sizes how far price could travel, not which way. The full Expected Move Screener ranks every instrument.
Showing Index · widest expected move first · toggle horizon, band and asset class below.
Last grade Aug 11, 2026
terminal-close audited · no live claims
| Asset | Price | Expected Move · 60% · 7D | Calibrated Range · Symmetric | Recent Character | 60% Band Held · LAST 15 |
|---|---|---|---|---|---|
| 15.32 | ±11.8% | 13.5108now17.1292 | recently choppy | 13/15· 87% | |
^KS11Index | 6,358.35 | ±11.1% | 5,650.44now7,066.26 | recently choppy | 6/15· 40% |
^N225Index | 66,970.22 | ±3.6% | 64,571.93now69,368.51 | recently choppy | 8/15· 53% |
| 29,530.75 | ±2.8% | 28,716.18now30,345.32 | recently choppy | 11/15· 73% | |
^IXICIndex | 26,442.27 | ±2.5% | 25,778.18now27,106.36 | recently choppy | 6/15· 40% |
^DJTIndex | 21,280.83 | ±2.0% | 20,861.6now21,700.06 | recently choppy | 9/15· 60% |
^BVSPIndex | 167,591.34 | ±1.9% | 164,390.92now170,791.76 | recently choppy | 7/15· 47% |
| 53,764.5 | ±1.8% | 52,814.22now54,714.78 | recently trending | 14/15· 93% | |
| 3,027.1 | ±1.7% | 2,975.08now3,079.11 | recently choppy | 15/15· 100% | |
^HSIIndex | 25,670 | ±1.6% | 25,247.56now26,092.44 | recently choppy | 2/15· 13% |
| 7,725.38 | ±1.6% | 7,599.55now7,851.21 | recently choppy | 10/15· 67% | |
^TNXIndex | 4.683 | ±1.5% | 4.6107now4.7553 | recently choppy | 6/15· 40% |
^MIDIndex | 3,881.85 | ±1.4% | 3,825.62now3,938.08 | recently choppy | 14/15· 93% |
^GDAXIIndex | 26,399 | ±1.4% | 26,019.39now26,778.61 | recently choppy | 5/15· 33% |
^FCHIIndex | 8,717.47 | ±1.3% | 8,600.38now8,834.56 | recently choppy | 14/15· 93% |
^STOXX50EIndex | 6,561.65 | ±1.3% | 6,478.55now6,644.75 | recently choppy | 4/15· 27% |
^AXJOIndex | 9,264.7 | ±1.2% | 9,149.09now9,380.31 | recently choppy | 12/15· 80% |
^GSPTSEIndex | 36,481.2 | ±1.2% | 36,034.75now36,927.65 | recently choppy | 15/15· 100% |
^DJUIndex | 1,099.46 | ±1.2% | 1,086.29now1,112.63 | recently choppy | 9/15· 60% |
^NSEIIndex | 24,450.25 | ±0.8% | 24,248.23now24,652.27 | recently choppy | 11/15· 73% |
^FTSEIndex | 10,849.18 | ±0.8% | 10,762.71now10,935.65 | recently choppy | 10/15· 67% |
Showing all 21 instruments.
Full screenerTop 2 per market · widest calibrated ±% ranges · 7-day horizon · magnitude only, not a directional call.
Understanding
The expected move is a symmetric ±% band around the issue price, sized from 14-day realised volatility (rv14). It answers one question: how far could price travel over the horizon — not which way.
Three widths — 60 / 80 / 95 — trade certainty for tightness. A wider band contains more days; a tighter one is a sharper range.
rv14
sizer
60/80/95
bands
LAST 15
audited
How It Works
Each band is sized, then held to account against what actually happened.
The containment rate you see is the running promise — a 60% band should hold on roughly 60% of days.