Archived snapshot from 04 Aug 2026, 07:01 UTCclick here for the latest live data →

SentimentFeed

real time stock market sentiment dashboard

Generated 04 Aug 2026, 07:01 UTC
next refresh 08:01 UTC

A real time sentiment feed for equities. Every hour this stock market sentiment dashboard re-reads the entire market feed, scores it, and republishes the result as a plain ticker feed — a stock sentiment tracker covering momentum, sector and theme rotation, market regime and tail risk in one page. No login, no sign-up.

Fear & Greed52NeutralFearGreed
Systemic risk48NeutralCalmStressed
Market regimeSidewaysBull 14% · Side 85% · Bear 0%
Volatility (VIX)16.0Forecast 13.9% ann.
Dollar regimeMIXED10Y 4.74% · DXY 100.0

Regime read: NEUTRAL (BELOW NOISE FLOOR) · expected +1.91% ± 5.81% over an optimal 30-day hold · signal/noise 0.33 — inside one standard deviation of noise.

Modal state is Sideways (85.3% posterior, -2.9%/yr drift), but the direction is the sign of the probability-weighted drift across all states. Bull contributes +0.0356%/day and dominates. Net +0.0233%/day. Suppressed: expected +1.91% over 30d is only 0.33 sd of its own noise (floor 0.35).

Stock sentiment tracker — strongest tickers

TickerScoreSectorFwd P/EPEGY52w posWhat is driving it
PLTR+23.0Information Technology60.01.7619%Palantir Is Set to Deliver Strong Q2. Analysts See 60% Upside Potential for PLTR Stock.profitableExtended FWD P/EMean Reversion: Euphoria (Short)
HOOD+8.9Financials28.42.3430%Robinhood's second private markets fund targets $200 million US IPOprofitableExpensive PEGY (>2)
HSBC+6.0Financials10.90.88100%HSBC pretax profit beats estimates, boosted by higher net interest income and feesprofitableFwd P/E < 15Near 52w High
IONQ+5.1Information Technology-34.622%IonQ vs. D-Wave Quantum: Which Quantum Computing Stock Is a Better Buy in 2026?profitableFwd P/E < 15EV/EBITDA < 10
BE+3.6Industrials44.60.8658%Bloom Energy vs. Oklo: Which Power Stock Is a Better Buy in 2026?profitableExtended FWD P/E

Score is a decayed sum of scored coverage over the last 24 hours (18-hour half-life). Valuation metrics are point-in-time.

Ranked watchlist

#TickerSideP(win)EV 48hEV 1wEV 1mWhy
1AULONG43.6%+0.12+0.80+2.49High conviction: undervalued + positive sector momentum; Quality: F-score 9/9
2KKRLONG43.6%+0.12+0.80+2.49High conviction: undervalued + positive sector momentum
3RBLXLONG43.6%+0.12+0.80+2.49Despair reversion: sentiment -5 but undervalued
4NXPILONG43.6%+0.12+0.80+2.49Despair reversion: sentiment -4 but undervalued
5HSBCLONG42.2%-0.19-0.20+0.26Hot sentiment (decayed score 6.1); Accelerating velocity +4.8 (2 mentions/12h); ⚠ Near 52w High; ⚠ Earnings in 0d — event risk inside hold window
6PLTRLONG40.7%-0.30-0.62-0.55Hot sentiment (decayed score 23.1); Accelerating velocity +19.6 (5 mentions/12h); Earnings catalyst (82% PM conviction); ⚠ Extended FWD P/E; Mean Reversion: Euphoria (Short); Quality: F-score 8/9
7IONQLONG41.8%-0.38-0.61-0.97Hot sentiment (decayed score 5.1); Valuation corroborated (PEGY/fwd-PE/EV checks); ⚠ Earnings in 2d — event risk inside hold window
8HOODLONG41.7%-0.34-0.59-0.79Hot sentiment (decayed score 9.0); Accelerating velocity +1.2 (2 mentions/12h); CIO meta-model current selection; ⚠ Expensive PEGY (>2)

Engine hit rate 43.6% over 172 scored calls (lower bound 36.4%), average net alpha -0.265%. Serving: rules.

A relative ordering produced by the model, not a recommendation. Expected values are net of a 0.15% round-trip cost.

Catalyst watch

  • PLTRBullishEarnings82

    Blowout Q2 numbers and a massive surge in US commercial revenue provide fundamental validation of AI monetization, though the risk of 'buy the rumor, sell the news' is discounted against the magnitude of the magnitude of the growth curve.

    2026-08-03 20:41
  • RBLXBearishRegulation82

    A single operational change resulting in a $9 billion market cap wipeout indicates extreme fragility and asymmetric downside risk, confirming the bear thesis of fundamental instability.

    2026-08-03 15:35
  • ATKRBullishBuyout98

    A definitive acquisition agreement at $95 per share provides a hard valuation floor and immediate price convergence toward the target price, overriding routine industrial headwinds.

    2026-08-03 11:02
  • RDDTBearishEarnings82

    Despite financial beats, the market is prioritizing a decline in U.S. daily active users as a leading indicator of platform stagnation, triggering a violent price correction.

    2026-08-02 08:17
  • TDOCBearishEarnings92

    Disappointing Q2 earnings results trigger a violent downward re-rating of valuation based on a fundamental breakdown in the growth narrative.

    2026-08-01 02:12
  • ALNYBearishEarnings82

    A 'one-two punch' earnings miss suggests systemic commercial failure or pipeline decay rather than temporary volatility, triggering a significant institutional exit.

    2026-07-31 23:27
  • CAVABearishLiquidity Event82

    The SPCX unlock is a massive supply-side shock that historically triggers 'sell the news' dynamics and insider exits, outweighing any speculative short squeeze narrative.

    2026-07-31 13:38
  • HIMSBearishRegulation82

    An FTC lawsuit regarding privacy violations in a telehealth platform is a fundamental risk to customer trust and brand equity, creating a significant downward pressure that outweighs the speculative 'dip-buying' narrative.

    2026-07-31 07:32
  • MKTXBullishBuyout98

    A definitive $5.7bn acquisition of MKTX by ICE is a high-conviction bullish catalyst as it provides an immediate valuation floor and a price target based on a fixed cash/stock consideration.

    2026-07-30 15:40
  • AMKRBearishEarnings92

    An earnings beat coupled with a 25% price collapse is a definitive signal of institutional exit and forward-guidance failure, overriding the lagging indicator of past performance.

    2026-07-30 06:53

Discrete events extracted from the last 14 days of coverage, with a model conviction score out of 100.

Ticker feed — accelerating now

TickerVelocityVolStory
PLTR+19.65Palantir Is Set to Deliver Strong Q2. Analysts See 60% Upside Potential for PLTR Stock.
HSBC+4.82HSBC pretax profit beats estimates, boosted by higher net interest income and fees
HOOD+1.22Robinhood's second private markets fund targets $200 million US IPO

Change in scored coverage over the last 12 hours versus the prior 12.

Under pressure

RBLX-5.4Roblox made one change and wiped out $9 billion
TWST-3.2Why is Twist Bioscience stock sliding today?
NXPI-2.4NXP downgraded by UBS as China and AI risks cloud growth
ZTS-2.4Zoetis (ZTS) Growth Weakens Amid Softening Pet Care Demand
WIX-2.4Diamond Hill Capital Large Cap Strategy Exited Wix.com (WIX) Amid Weak Results and AI Disruption

Most negatively scored names in the same window.

Sector heat

Sector1W trend1D1W1M
Financials+130+591+3,135
Energybearish reversal-119+160+2,442
Materialsbullish reversal+10+57-127
Industrialsbullish reversal+19+51-660
Health Carebullish reversal+4+31-278
Consumer Staples-23-13-723
Communication Servicesbullish reversal+20-36-321
Consumer Discretionary+0-45-1,490
Information Technology+49-59+667
Utilities-26-238-923
Real Estate-66-496-1,726

Industry cuts (1W)

  • Artificial Intelligence+779
  • Semiconductors-269
  • Cybersecurity-167
  • Gold & Commodities-162
  • Electric Vehicles-142
  • Cloud & Data Centers+129
  • Biotechnology-92
  • Aerospace & Defense-61

Net sentiment balance per sector across each lookback window.

Theme momentum

ThemeVelocityLevel
Inflation+65.2+14
Geopolitics+58.7+56
Interest Rates+49.0-55
Artificial Intelligence+40.3+162
Geopolitical Competition-8.5-9
Financial Conditions-10.0-10
AI Infrastructure-12.3-2
Oil Prices-54.0-28

Velocity is the rate of change in theme coverage; level is its net sentiment balance.

Model consensus

ModelVoteTrust
Macro Factor GateUP55%

Consensus: BULLISH

Benched

  • SPY Neural Net (1w) — realized hit rate 8.3% is below a coin flip — vote suspended until it recovers

Weekly index projection: +0.80% (80% band -1.20% to +1.43%).

Votes are weighted by each model's realised hit rate and suspended when it falls below its baseline.

Volatility & tail risk

Forecast volatility13.9% ann.
Percentile vs 6 months64%
Variance risk premium+2.3
Daily VaR (5%)-1.59%
Weekly VaR (5%)-3.55%
Weekly expected shortfall-5.76%

Premium in normal range — ⚠ LOW CONFIDENCE: the HAR fit (R²=0.08 in-sample / 0.19 OOS, worst 0.08) explains almost none of realized vol, so the forecast leg of this premium is weak

HAR realised-volatility forecast with a generalised Pareto tail fit.

Story cascades

ThemeBranchingHalf-lifeState
Oil & Gas0.772.4hELEVATED
Artificial Intelligence0.770.9hELEVATED
Semiconductors0.700.8hELEVATED
Interest Rates0.690.7hSUBCRITICAL
Cloud & Data Centers0.671.2hSUBCRITICAL
Inflation0.621.9hSUBCRITICAL
M&A0.531.3hSUBCRITICAL
FinTech0.471.6hSUBCRITICAL

Self-excitation of coverage per theme. A branching ratio near 1 means each story is spawning roughly one more.

Market feed volume

Scored today109
Yesterday, same hour1,230
Projected close of day634
Daily average1,341
Flow ratio vs normal0.98×
Total in corpus140,819

Volume of scored market coverage. Ratios below 1 mean a quiet tape.