Curated reference · GitHub · Finance
OpenTerminal Risk Desk
A dark institutional risk surface that organizes factor exposure, volatility, and portfolio health into explicit monitoring zones.

01 Critique
Why it works
- 01Risk families are separated spatially, so exposure, distribution, and performance never compete for the same scan path.
- 02Green and red encode actual condition while orange marks structure and actions.
- 03A persistent market tape keeps the broader context visible above portfolio-specific evidence.
02A Advantages
Strengths
- Clear monitoring zones
- Excellent semantic color
- High institutional credibility
02B Constraints
Trade-offs
- Visually intimidating for occasional users
- Dense small text needs generous display space
03 Contribution
Why it belongs in the archive
Presents risk as an operational field of coordinated instruments rather than a single score.