VOL. I · NO. 119 · standardpoorly.comSUN · JUL 19 · 2026FORWARD HORIZON · 1 d / 1 wk / 1 mo / 3 mo
STANDARD Poorly
"All the correlations that are barely fit to print"
← back to front page·indicator report
Standardcurrencies_ratesSP-1857

3-Month Treasury Yield (daily)

Bill rate closely tracks Fed Funds.

the verdict —
At the 252d horizon, this signal hits in the predicted direction 37% of fires. Mean SPY forward return when it lights: -4.97%. Status: OOS validated. n = 6331. Bearish on the underlying when fired.
What to watch when it fires
TLTIEFSHY

Current state

Latest value · 2026-07-15
3.83
vs ~6 weeks ago
1.3%
vs 60 days ago
3.5%
vs 7 days ago
1.0%
last 90 observations · 2026-03-09 2026-07-15

The series — full history

Daily readings, every reading we have. Pick a window with the time-period buttons; flip to candles via the global toggle in the masthead (or press C). Toggle the SPY overlay to see how this series and the S&P 500 have moved together.

3-Month Treasury Yield (daily)
3.84 -0.5800 (-13.12%) over 1Y
Hover for date + value · Toggle SPY to compare relative move
4.454.244.023.803.59Jul 25Oct 25Jan 26Apr 26Jul 26
2025-07-15 → 2026-07-16 · 252 bars

What it has historically predicted

On days when this signal fires (deviates 2+ standard deviations from its 30-day average, in either direction), SPY has historically averaged -5.0% over the next year, moving in the opposite direction 63% of the time.

49%
−0.01%
1 d
53%
+0.03%
1 wk
55%
−0.24%
1 mo
56%
−0.66%
3 mo
58%
−1.4%
6 mo
63%
−5.0%
1 yr

Beyond SPY — how this signal performs across markets

Same fire days, different forward returns. Each row asks: when this signal fires, what does that asset do? The big number is the average return; underneath is how often the asset moved the same direction as the signal (50% would be a coin flip).

target
1 d
1 wk
1 mo
3 mo
6 mo
1 yr
SPY
S&P 500 ETF
n=6,331
-0.01%
49% same direction
+0.03%
53% same direction
-0.24%
45% same direction
-0.66%
44% same direction
-1.4%
42% same direction
-5.0%
37% same direction
WTI
crude oil
n=6,161
+0.12%
51% same direction
+0.24%
52% same direction
-0.71%
45% same direction
-2.1%
42% same direction
-4.0%
40% same direction
-9.2%
36% same direction
Analyst · 6 moreGold · BTC · Copper · DXY · MOVE · VNQ see the full 8-target matrix with bootstrap confidence intervals.Join waitlist →

Each fire in history — when the signal popped, what SPY did next

Each bar is one historical fire — the indicator's value moved 2.5+ standard deviations from its rolling 180 trading-day mean (~9 months), or for monotonic “days since” indicators, crossed an 80th/90th/95th/99th percentile. Bar height = SPY's forward return at the selected horizon, signed by signal direction. Green above zero means the market moved with the signal; red below zero means it moved against.

horizon:
0 fires · 0% positive · avg +0.00%
⚠ This indicator hasn't fired since 2025-12-18 (213 calendar days ago). Currently quiet — chart shows historical fires only.
−5.0%−2.5%0%+2.5%+5.0%
Each bar = one fire day (|z|≥2.5 from 180-day rolling baseline). Bar height = SPY return over the the next year, signed by signal direction. Dashed line = average across fires.
Regime-tuned params · AutoResearch v13Analyst · preview
Regime matters
This indicator's strongest predictive edge sits in High VIX (stress): tuned σ = 2, window = 180d, horizon = 252d, hit-rate deviation from chance = 50.0pp.
RegimeσWindowHorizonHit dev
Low VIX (calm)2.75240d252d48.0pp
Normal VIX2.75180d252d47.5pp
High VIX (stress)2.00180d252d50.0pp

Hit-rate deviation = |hit% − 50%| at the row's tuned horizon. Big deviation = strong directional edge in that regime. Regimes split by daily VIX terciles (low / normal / high) over a 1-year rolling window. Analyst + Trader subscribers will be able to filter the home grid and the fire-history bar chart by regime.

shaded cell = each row's strongest horizon (green = bullish forward return, red = bearish)“same direction” means the asset moved the same way the signal moved — opposite of a coin flip.

Related ticker news · TLT, IEF, SHYlive

Live from Alpaca / Benzinga. This indicator is editorially mapped to these tickers — open any TLT · IEF · SHY for the full feed.
No recent headlines for TLT, IEF, SHY in the last 7 days.
Analyst · previewYou're seeing the public read on this signal. Analyst unlocks the full multi-year track record + bootstrap confidence intervals + an alert when this indicator fires. Trader adds the walk-forward backtest + intraday refresh + the API / MCP to pull this signal into Claude.Compare tiers →