AgentCanary/The Record/2026/May/May 29, 2026
THE RECORD · DAILY ARCHIVE

May 29, 2026 — The Record

Risk Gauge: 38/100 · Phase: EXPANSION · 4 briefs · 6 top movers

0 50 100
38
/ 100
LOW
LOWEXPANSION
Risk 38/100 · 6 movers
4 BRIEFS · CHRONOLOGICAL · ALL TIMES UTC FRI 29 MAY 2026
03:15
RADAR
MACRO RADAR 03:15 UTC #

MACRO RADAR — May 29

Risk 38/100 · 6 movers

EXPAND BRIEF CONTENT
MACRO RADAR — May 29, 2026 Built for autonomous systems. Useful for humans.

MACRO OVERVIEW

Risk Gauge: 37.8/100 (Low). Phase: EXPANSION. Composite Risk: 32.3/100 (MODERATE). Geopolitical risk: 43/100 (MODERATE). Top: Middle East / Red Sea 55/100 (ELEVATED, natural_gas bullish).

CRYPTO

BTC: $73,120 · ETH: $1,979 · SOL: $80.60 Crypto sentiment: 23 (Extreme Fear, 7d avg 27) (falling).

LIQUIDITY & CREDIT

Global CB Liquidity: $18.06T (YoY -2.83%) — fed $6.71T · ecb $7.18T · boj $4.17T US M2: $22.80T (YoY +4.72%) HY Credit Spreads: 271bps NORMAL (composite: CAUTION) BDRY: $12.95 (+16.4% 30d, UP — BULLISH_SHIPPING). Oil: SUPPLY_TIGHTENING, crude 445.0M bbl, refinery 91.6%, SPR 374M.

KEY PRICES

SPY +0.5% | QQQ +0.7% | VIX -3.4% | TLT +0.8% | DXY -0.2% | OIL -0.9%

OVERNIGHT vs US CLOSE

▲ KTOS: +15.0% ▲ ARM: +13.6% ▲ INFQ: +12.0% ▲ ABSI: +11.1% ▲ SMCI: +10.8% ▼ IPWR: -10.5%

HEGEMONY SNAPBACK

2.5/6 — WATCH USD Index 119.29 (R), Gold $4451 (Y), Oil $112 (R)

NOTABLE Z-SCORES

[-] 10Y Breakeven Inflation: -1.85σ [+] WTI Crude Oil: +1.75σ [+] 30Y Mortgage Rate: +1.73σ [-] Gold: -1.66σ [-] HY Credit Spread: -1.64σ

US OPEN SETUP

Setup favors risk assets into US open with volatility compressed and crypto flows stabilizing. Watch for defense sector continuation and energy weakness to persist as broader market sentiment remains constructive.

JSON

{"regime":"EXPANSION","riskGauge":37.8,"compositeRisk":32.3,"geoRisk":43} api.agentcanary.ai/api/docs npm i agentcanary-mcp Not financial advice
09:15
SIGNAL
SIGNAL SCAN 09:15 UTC #

SIGNAL SCAN — May 29

Risk 38/100 · 6 movers

EXPAND BRIEF CONTENT
SIGNAL SCAN — May 29, 2026 Built for autonomous systems. Useful for humans.

SNAPSHOT

Risk appetite drives selective rotation into cyclical sectors while defensive utilities and energy lag. Volatility compression signals complacency as aerospace and discretionary names lead the charge. BTC at $73,145, below $75K. Crypto sentiment: 23 (Extreme Fear, 7d avg 27) (falling). Equity sentiment (CNN F&G): 60.2 (Greed), 7d avg 58.1, 30d avg 67.4. BTC ETF flows: -$223M outflow on May 29 (Fri close), after -$1.5B outflow trailing 5-trading-day.

SECTOR STRENGTH

Top sectors: ITA +2.6%, XLY +2.2%, XBI +2.0%, XLU -1.5%, XLE -1.6%. 1. Defense (ITA +2.6%) — strong 2. Consumer Disc (XLY +2.2%) — bid 3. Biotech (XBI +2.0%) — rotating 4. Utilities (XLU -1.5%) — weak 5. Energy (XLE -1.6%) — weak

MACRO RISK DASHBOARD

Pre-market — tradfi reflects Thu close, crypto live. Risk Gauge: 37.8/100 (Low). Phase: EXPANSION. SPY +0.5% | QQQ +0.7% | VIX -3.4% | TLT +0.8% | DXY -0.2% | OIL -0.9% Composite Risk: 31.9/100 (MODERATE). CAPE: 42.5 (BUBBLE_TERRITORY, 99th %ile, +149% vs mean). Geopolitical risk: 40/100 (MODERATE). Top: Middle East / Red Sea 52/100 (ELEVATED, natural_gas bullish).

RATES + CYCLE

ICSA: 209K (DOWN trend, -0.17z) Business cycle: LEI 99.85 (STABLE), claims ↑215K, 2s10s +0.46. Fed implied: -1.5 cuts (HIKES_PRICED); 10Y breakeven 2.39% (NORMAL).

FORWARD SCENARIOS

SCENARIO A (33%) — Risk-on Extension SPY: $775.56-789.53 (+3-5%) QQQ: $769.65-790.09 (+5-7%) BTC: $76,531-79,917 (+5-9%) SCENARIO B (33%) — Crypto Decoupling BTC: $78,563-83,304 (+7-14%) TLT: $83.36-84.95 (-3 to -1%) QQQ: $715.17-728.79 (-3 to -1%) SCENARIO C (34%) — Defensive Rotation TLT: $88.12-89.71 (+3-5%) DXY: 99.94-101.77 (+1-3%) SPY: $733.64-740.63 (-3 to -2%)

NARRATIVES

↑ BTC: 0.497 (Δ +0.036, MIXED) ↑ Crypto: 0.436 (Δ +0.028, MIXED) ↑ Software: 0.607 (Δ +0.021, CORE)

BIG MOVES + DRIVERS

Top movers: FET +4.2%, TKMS +3.8%, VIX -3.4%, EWY +2.9%, ITA +2.6%, BRENT -2.3%. FET $0.24 (+4.2%) — flow-driven move, no specific catalyst, positioning-led TKMS $86.80 (+3.8%) — flow-driven move, no specific catalyst, positioning-led VIX 15.74 (-3.4%) — volatility compression amid risk-on sentiment and low realized moves EWY $206.41 (+2.9%) — South Korea exposure benefiting from regional rotation and risk appetite ITA $235.57 (+2.6%) — aerospace and defense sector momentum on institutional flows BRENT $92.09 (-2.3%) — energy complex weakness on demand concerns and supply outlook Risk-on rotation favoring cyclicals over defensives as markets chase growth themes

POSITIONING

BTC ETF flows (DefiLlama, issuer-reported): -$223M outflow on May 29 (Fri close) (IBIT -$178M, GBTC -$26M, FBTC -$19M). Trailing 5-trading-day net: -$1.5B outflow. Gold (COMEX): +94.4K net, Δ -6.2K (HEAVY_LIQUIDATION) Copper #1 (COMEX): +75.0K net, Δ +1.5K (ADDING_LONGS)

INTEL

▲ US-Iran Diplomatic Progress [USD, BRENT, GOLD, BTC] ▼ RBNZ Hawkish Pivot [NZD, AUD] ◆ Crypto Infrastructure Strain [BTC, ETH, SUI] Congress (last 3 pages): 12 buys / 24 sells [D:3B/4S, R:9B/20S]. Top: THC(2), ORLY(1), SPG(1), V(1).

IMPLICATION

The risk-on rotation into cyclicals and discretionary names suggests appetite for growth exposure, though energy weakness and volatility compression warrant caution. Watch for sustainability of aerospace defense momentum and whether crypto flows stabilize after recent outflows. Defensive weakness may offer tactical entries if risk sentiment shifts.

JSON

{"regime":"EXPANSION","riskGauge":37.8,"cape":42.55,"equitySentiment":60.2} api.agentcanary.ai/api/docs npm i agentcanary-mcp Not financial advice
15:15
PULSE
MARKET PULSE 15:15 UTC #

MARKET PULSE — May 29

Risk 38/100 · 6 movers

EXPAND BRIEF CONTENT
MARKET PULSE — May 29, 2026 Built for autonomous systems. Useful for humans.

CRYPTO

BTC: $73,196 — 1d:BEAR_REGIME · 4h:ACCUMULATION · → rev-watch · below $75K ETH: $2,000 · (same) SOL: $81.51 · (same) Crypto sentiment: 23 (Extreme Fear, 7d avg 27) (falling).

WHALE ALERTS

• 4,180 BTC ($304.7M) — transferred from Coinbase Institutional to unknown wallet • 2,333 BTC ($170.0M) — transferred from unknown wallet to Coinbase Institutional • 1,964 BTC ($143.1M) — transferred from unknown wallet to Coinbase Institutional

STABLECOIN WHALES

• 250M USDC ($250M) — minted at USDC Treasury • 223M USDT ($223M) — transferred from unknown wallet to #Bitfinex • 169M USDT ($169M) — transferred from #Bitfinex to Tether Treasury FUNDING ARB (OI>$5M, |spread|<1%) • BCH: 51% net APR (0.0462% rate) · Long Binance / Short Bybit · OI $52.4M · Spread -0.07%

OPEN INTEREST

Total OI (top 43 perps): $105.4B Top OI: BTC $55.5B · ETH $31.3B · SOL $5.5B · XRP $2.9B · HYPE $2.8B OI shifters (4h): INJ +9.7% · DYDX +8.3% · APT -6.0% · SEI -5.3% · SHIB -4.8%

POSITIONING

BTC ETF flows (DefiLlama, issuer-reported): -$223M outflow on May 29 (Fri close) (IBIT -$178M, GBTC -$26M, FBTC -$19M). Trailing 5-trading-day net: -$1.5B outflow. BTC options — BEARISH: max pain $75,000 (29MAY26), P/C 0.66 OI / 0.83 vol, put skew +29.8 IV. Perp funding (8h, cross-exchange mean): BTC +0.6370% (19/21 positive, long-biased). Whale positioning (Hyperliquid, top 3 by notional): BTC: $100M long / $100M short (flat, +$4.0M PnL); ETH: $9M long / $46M short (net short $37M, +$1.7M PnL); HYPE: $13M long / $31M short (net short $18M, -$10.3M PnL). Liquidations: 24h total $110.9M; latest 4h $3K (0% long / 100% short, 0L/9S events, short-dominant). ETH stake APY 2.46% vs T-bill 3.59% (spread -1.13, TBILL_FAVORED).

SCENARIO

↑ Late Cycle · ↑ Goldilocks · ↑ Hegemony · ↑ Displacement

INTEL

▲ US-Iran Diplomatic Breakthrough [BTC, GOLD, BRENT, USD] ▲ AI Infrastructure Boom [NVDA, KWEB, ITA] ▲ Crypto Market Maturation [BTC, ETH, SUI]

IMPLICATION

Risk appetite accelerating into session close with defense and discretionary leadership signaling tactical rotation from defensive positioning. Watch for continuation of volatility compression and whether energy weakness spreads to broader commodity complex. Near-term momentum favors growth over yield themes.

JSON

{"btc":73145,"cryptoSentiment":23,"regime":"EXPANSION"} api.agentcanary.ai/api/docs npm i agentcanary-mcp Not financial advice
21:15
WRAP
MARKET WRAP 21:15 UTC #

MARKET WRAP — May 29

Risk 38/100 · 6 movers

EXPAND BRIEF CONTENT
MARKET WRAP — May 29, 2026 Built for autonomous systems. Useful for humans.

DAILY SYNTHESIS

Technology dominated today's session with enterprise software leading equity gains while defensive sectors faced rotation pressure. Crypto assets showed strength despite institutional outflows, suggesting retail momentum remains intact. Tomorrow's setup favors continued growth themes unless defensive sectors find stabilization support.

CLOSING PRICES

SPY +0.8% | QQQ +1.2% | VIX -2.7% | TLT +0.5% | DXY -0.1% | OIL -1.3%

vs MORNING

SPY +0.3% | QQQ +0.5% | VIX +0.7% | TLT -0.2% | DXY +0.1% | OIL -0.4%

EVENING NEWS

▲ SpaceX secures $4.16B contract from US Space Force for airborne threat tracking ▲ Strait of Hormuz Ship Transits Are Rising Thanks to Help From US ▲ MIT’s MeMo framework boosts LLM performance by 26% without retraining ▼ ‘The banks will not accept it’: Dimon escalates battle over stablecoin rewards in CLARITY Act debate ▼ Durex sales hit by China’s condom crackdown

SCENARIO SHIFTS

↑ Late Cycle · ↑ Goldilocks · ↓↓ Stagflation · ↑ Hegemony · ↑ Displacement

REGIME CHECK

Risk Gauge: 37.8/100 (Low). Phase: EXPANSION.

SECTOR CLOSE

Top sectors: XLK +3.6%, COPX +2.4%, ITA +2.1%, XLU -1.6%, XLP -2.0%. Sector dispersion: 69 (EXTREME, breadth SELECTIVE_STRENGTH), 75% positive 1w.

UPCOMING — HIGH IMPACT

[GER] Actual Retail Sales (MoM)(Apr) (+1 variants) — May 31 16:05 UTC (prev: -2.0%) [SWI] Actual Retail Sales (YoY)(Apr) — Jun 1 06:30 UTC (prev: 0.5%) [SWI] GDP (QoQ)(Q1) (+1 variants) — Jun 1 08:00 UTC (prev: 0.1%) [EU] Unemployment Rate(Apr) — Jun 1 09:00 UTC (prev: 6.2%)

CONTRARIAN

• XLK's +3.6% surge may be overdone as AI infrastructure spending could face capex fatigue by late 2026 • VIX's -2.7% drop ignores rising geopolitical complexity as Iran negotiations could destabilize regional dynamics

JSON

{"regime":"EXPANSION","riskGauge":37.8,"sectorDispersion":69,"breadth":"SELECTIVE_STRENGTH","topSector":"XLK"} api.agentcanary.ai/api/docs npm i agentcanary-mcp Not financial advice

72H TRACK RECORD

4 of 4 scored · 2026-06-01

HIT
2
PARTIAL
2
MISS
0
MACRO RADAR
Regime EXPANSION held all day
HIT
SIGNAL SCAN
Scenario B “Crypto Decoupling” landed 0/3
PARTIAL
MARKET PULSE
1 hit, 2 partial of 3
PARTIAL
MARKET WRAP
Regime EXPANSION held overnight (no SPY data for direction check)
HIT