Archived snapshot from 05 Aug 2026, 15:01 UTCclick here for the latest live data →

SentimentFeed

real time stock market sentiment dashboard

Generated 05 Aug 2026, 15:01 UTC
next refresh 16:01 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 & Greed57GreedFearGreed
Systemic risk42CalmCalmStressed
Market regimeSidewaysBull 17% · Side 83% · Bear 0%
Volatility (VIX)17.3Forecast 13.7% ann.
Dollar regimeMIXED10Y 4.63% · DXY 99.8

Regime read: LONG · expected +2.09% ± 5.79% over an optimal 30-day hold · signal/noise 0.36 — inside one standard deviation of noise.

Modal state is Sideways (83.3% posterior, +0.4%/yr drift), but the direction is the sign of the probability-weighted drift across all states. Bull contributes +0.0376%/day and dominates. Net +0.0360%/day.

Stock sentiment tracker — strongest tickers

TickerScoreSectorFwd P/EPEGY52w posWhat is driving it
PLTR+71.5Information Technology74.11.7653%Palantir Crushes Earnings in Q2. Is the Stock Heading Back to $200?profitableExtended FWD P/EMean Reversion: Euphoria (Short)
ON+8.3Information Technology17.20.2737%ON Semiconductor Reports Higher Profit, Revenue on Growing AI Data Center BusinessconvictionprofitablePEGY < 0.75
INDV+7.2Health Care8.378%Supernus Shares Jump After Revenue Beat, Higher Guidance and Indivior Merger AnnouncementprofitableFwd P/E < 15EV/EBITDA < 10
BE+6.0Industrials47.40.8662%Bloom Energy's Pullback Is the Entry Point Long-Term Investors WantedprofitableExtended FWD P/E
GM+5.4Consumer Discretionary6.00.3593%‘Made in Michigan again’: White House says US manufacturing is roaring back as GM, Ford pour billions into factoriesPEGY < 0.75Fwd P/E < 15Near 52w HighUNPROFITABLE - elevated risk

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

NO TRADE: every ranked play has a negative expected net gain after costs in the current regime. The table is a relative ordering, not a buy list.

#TickerSideP(win)EV 48hEV 1wEV 1mWhy
1FSLRLONG43.5%+0.04+0.06+0.45High conviction: undervalued + positive sector momentum; Quality: F-score 8/9
2KKRLONG43.5%+0.04+0.06+0.45High conviction: undervalued + positive sector momentum
3CPRILONG43.5%+0.04+0.06+0.45Despair reversion: sentiment -11 but undervalued; Quality: F-score 8/9; ⚠ Earnings in 0d — event risk inside hold window
4TBLALONG43.5%+0.04+0.06+0.45Despair reversion: sentiment -4 but undervalued; Quality: F-score 7/9; ⚠ Earnings in 0d — event risk inside hold window
5PRULONG43.5%+0.04+0.06+0.45Despair reversion: sentiment -4 but undervalued
6ONLONG42.8%-0.14-0.28-0.23Hot sentiment (decayed score 8.4); Valuation corroborated (PEGY/fwd-PE/EV checks); High conviction: undervalued + positive sector momentum; Accelerating velocity +7.2 (2 mentions/12h); CIO meta-model current selection
7IONQLONG43.5%+0.04+0.06+0.45High conviction: undervalued + positive sector momentum; ⚠ Earnings in 0d — event risk inside hold window
8MTDRLONG43.5%+0.04+0.06+0.45High conviction: undervalued + positive sector momentum; ⚠ Earnings in 0d — event risk inside hold window

Engine hit rate 44.0% over 182 scored calls (lower bound 36.9%), average net alpha -0.242%. 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

  • APGEBearishBuyout92

    The AbbVie buyout is a definitive valuation ceiling; Baron Capital's exit signals that smart money has already captured the alpha and is providing liquidity for retail traders who are mistakenly treating a completed acquisition as a growth catalyst.

    2026-08-05 12:49
  • ATKRBullishBuyout92

    A $3.8B buyout offer provides a hard valuation floor and an immediate price target, overriding temporary operational slumps in Q2 earnings.

    2026-08-05 05:34
  • INDVBullishBuyout92

    The announcement of a merger with Supernus, which is already showing strong revenue growth and high guidance, provides an immediate valuation reset and significant synergy potential for INDV.

    2026-08-05 00:29
  • SUPNBullishM&A82

    The combination of a revenue beat and raised guidance provides fundamental strength, while the Indivior merger acts as a high-impact catalyst for valuation re-rating despite typical M&A integration risks.

    2026-08-05 00:28
  • MKTXBullishBuyout95

    A definitive acquisition of MKTX by ICE is a high-conviction catalyst as it typically provides an immediate price floor and established premium over current trading levels.

    2026-08-04 23:33
  • PLTRBullishEarnings82

    An 'otherworldly' earnings beat and explosive US commercial growth signal a fundamental regime change in AI adoption, though the 30% vertical spike suggests significant short-term mean reversion risk.

    2026-08-04 17:20
  • SNDKBearishInsolvency/Fire Sale95

    A 67% collapse driven by leverage-induced insolvency and a fire sale of AI assets indicates structural failure rather than a opportunistic dip, making the current valuation a value trap.

    2026-08-04 12:53
  • CRWVBearishLeverage/Insolvency92

    The 'fire sale' of assets to cover leverage-driven losses is a systemic failure of the balance sheet and a fundamental breakdown of the AI infrastructure bet, not a strategic purge.

    2026-08-04 12:51
  • 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
  • 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

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

Ticker feed — accelerating now

TickerVelocityVolStory
PLTR+8.49Palantir Crushes Earnings in Q2. Is the Stock Heading Back to $200?
ON+7.22ON Semiconductor Reports Higher Profit, Revenue on Growing AI Data Center Business
RKLB+5.02Tesla vs. Rocket Lab: Which Is the Better Innovation Stock to Own for the Next 10 Years?
GM+3.82‘Made in Michigan again’: White House says US manufacturing is roaring back as GM, Ford pour billions into factories

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

Under pressure

CPRI-11.0Capri Holdings beats first-quarter forecasts but lowers revenue guidance
RIVN-7.5Why Rivian Stock Fell 12% Last Month
RBLX-4.0Deutsche Bank sees jarring signs in Roblox as stock crashes
TBLA-3.8Why is Taboola stock tumbling today?
SHAK-3.1Shake Shack Q2 2026 earnings: sales up, profit slips on costs

Most negatively scored names in the same window.

Sector heat

Sector1W trend1D1W1M
Financials+36+507+2,916
Information Technology+98+241+658
Energybearish reversal-77+74+2,654
Industrialsbullish reversal+22+50-650
Materialsbullish reversal+3+34-124
Consumer Discretionarybullish reversal+36-3-1,436
Health Carebullish reversal+4-9-272
Consumer Staples-19-66-716
Communication Services-4-83-330
Utilities-34-244-936
Real Estate-64-501-1,764

Industry cuts (1W)

  • Artificial Intelligence+915
  • Cybersecurity-208
  • Gold & Commodities-194
  • Electric Vehicles-184
  • Biotechnology-129
  • Cloud & Data Centers+117
  • Oil & Gas-114
  • Aerospace & Defense-88

Net sentiment balance per sector across each lookback window.

Theme momentum

ThemeVelocityLevel
Artificial Intelligence+133.7+269
Corporate Profits+83.0+84
Geopolitics+47.2+56
Interest Rates+45.3-54
AI Infrastructure-10.3-2
Cloud Computing-10.7+28
Stock Market Crash-13.8-15
Oil Prices-30.8-9

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

Model consensus

ModelVoteTrust
Markov Regime EngineUP50%
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
  • Sector NN Breadth — realized hit rate 46.5% is below a coin flip — vote suspended until it recovers

Weekly index projection: +0.39% (80% band -1.75% to +1.04%).

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

Volatility & tail risk

Forecast volatility13.7% ann.
Percentile vs 6 months64%
Variance risk premium+4.0
Daily VaR (5%)-1.59%
Weekly VaR (5%)-3.55%
Weekly expected shortfall-5.75%

Premium in normal range — ⚠ LOW CONFIDENCE: the HAR fit (R²=0.05 in-sample / 0.08 OOS, worst 0.05) 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
Currency Intervention0.936.1hCRITICAL
Oil & Gas0.811.8hELEVATED
Artificial Intelligence0.750.8hELEVATED
Interest Rates0.700.7hSUBCRITICAL
M&A0.631.0hSUBCRITICAL
Semiconductors0.610.9hSUBCRITICAL
Inflation0.591.8hSUBCRITICAL
Cloud & Data Centers0.571.2hSUBCRITICAL

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

Market feed volume

Scored today797
Yesterday, same hour1,142
Projected close of day1,324
Daily average1,346
Flow ratio vs normal1.13×
Total in corpus142,649

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