Archived snapshot from 06 Aug 2026, 03:01 UTCclick here for the latest live data →

SentimentFeed

real time stock market sentiment dashboard

Generated 06 Aug 2026, 03:01 UTC
next refresh 04:01 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 & Greed58GreedFearGreed
Systemic risk40CalmCalmStressed
Market regimeSidewaysBull 14% · Side 86% · Bear 0%
Volatility (VIX)15.8Forecast 14.0% ann.
Dollar regimeMIXED10Y 4.62% · DXY 99.7

Regime read: NEUTRAL (BELOW NOISE FLOOR) · expected +2.03% ± 5.81% over an optimal 30-day hold · signal/noise 0.35 — inside one standard deviation of noise.

Modal state is Sideways (86.3% posterior, +0.1%/yr drift), but the direction is the sign of the probability-weighted drift across all states. Bull contributes +0.0331%/day and dominates. Net +0.0305%/day. Suppressed: expected +2.03% over 30d is only 0.35 sd of its own noise (floor 0.35).

Stock sentiment tracker — strongest tickers

TickerScoreSectorFwd P/EPEGY52w posWhat is driving it
PLTR+65.3Information Technology72.41.7651%Palantir Stock Jumps 25% on ‘Otherworldly’ ResultsprofitableExtended FWD P/EMean Reversion: Euphoria (Short)
ON+9.1Information Technology17.00.2736%ON Semiconductor Shares Jump After Earnings and Outlook Beat ExpectationsconvictionprofitablePEGY < 0.75
BE+6.7Industrials47.90.8663%Bloom Energy's AI Data Center Backlog Just Grew Again -- Here's What It's WorthprofitableExtended FWD P/E
HSBC+5.3Financials10.80.8788%HSBC Profits as Global Trade Gets More ComplexprofitableFwd P/E < 15
W+4.8Consumer Discretionary28.181%Wayfair Shares Jump on Higher Demand in U.S. Furniture BusinessP/B < 1.5Price > Analyst TargetUNPROFITABLE - 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
1IONQLONG70.2%+0.05+0.05+0.43High conviction: undervalued + positive sector momentum; ⚠ Earnings in 0d — event risk inside hold window
2BRBRLONG66.0%+0.05+0.05+0.43Despair reversion: sentiment -4 but undervalued
3SOFILONG66.0%+0.05+0.05+0.43Despair reversion: sentiment -5 but undervalued; ⚠ Weak fundamentals: F-score 2/9
4SNDKLONG54.3%-0.14-0.29-0.11Accelerating velocity +2.8 (2 mentions/12h); ⚠ Earnings in 0d — event risk inside hold window
5HSBCLONG48.1%-0.25-0.62-1.23Hot sentiment (decayed score 5.3)
6GMLONG47.6%-0.25-0.62-1.23Hot sentiment (decayed score 4.6); ⚠ Near 52w High; UNPROFITABLE - elevated risk
7ONLONG20.1%-0.12-0.29-0.26Hot sentiment (decayed score 9.2); Valuation corroborated (PEGY/fwd-PE/EV checks); High conviction: undervalued + positive sector momentum; Accelerating velocity +2.6 (2 mentions/12h); CIO meta-model current selection
8PLTRLONG27.1%-0.25-0.62-1.23Hot sentiment (decayed score 60.2); ⚠ Extended FWD P/E; Mean Reversion: Euphoria (Short); Quality: F-score 8/9

Engine hit rate 44.3% over 185 scored calls (lower bound 37.4%), average net alpha -0.196%. Serving: challenger.

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
W+7.22Wayfair Shares Jump on Higher Demand in U.S. Furniture Business
SNDK+2.82Sndk is on crack
ON+2.62ON Semiconductor Shares Jump After Earnings and Outlook Beat Expectations

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

Under pressure

RIVN-7.8Rivian's Improving Quarter Leaned On Help That Is Running Out
SEDG-6.9Why SolarEdge Stock Crashed After Earnings
CPRI-6.9Capri Holdings beats first-quarter forecasts but lowers revenue guidance
BRBR-5.1BellRing Brands cuts earnings forecast amid inventory issues
SOFI-5.1SoFi Stock Sinks 50%, But Most Analysts Still Aren’t Bullish

Most negatively scored names in the same window.

Sector heat

Sector1W trend1D1W1M
Financials+72+561+2,934
Information Technology+78+330+582
Industrials+1+43-656
Materials-1+11-126
Energy+36+4+2,769
Consumer Discretionary-3-2-1,443
Health Care-15-28-274
Communication Services-20-96-346
Consumer Staples-38-99-725
Utilities-45-245-950
Real Estate-62-479-1,768

Industry cuts (1W)

  • Artificial Intelligence+974
  • Cybersecurity-217
  • Gold & Commodities-200
  • Electric Vehicles-190
  • Oil & Gas-163
  • Cloud & Data Centers+126
  • Biotechnology-123
  • Aerospace & Defense-91

Net sentiment balance per sector across each lookback window.

Theme momentum

ThemeVelocityLevel
Artificial Intelligence+69.5+222
Geopolitics+41.3+56
Interest Rates+37.7-48
Oil Prices+37.5+42
Labor Market-9.5-11
Global Financial Crisis-10.0-10
Market Crash-12.7-15
Geopolitical Risk-20.3-25

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: +0.40% (80% band -1.70% to +1.06%).

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

Volatility & tail risk

Forecast volatility14.0% ann.
Percentile vs 6 months65%
Variance risk premium+2.3
Daily VaR (5%)-1.58%
Weekly VaR (5%)-3.53%
Weekly expected shortfall-5.69%

Premium in normal range — ⚠ LOW CONFIDENCE: the HAR fit (R²=0.05 in-sample / 0.09 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 Intervention0.835.0hELEVATED
Oil & Gas0.811.9hELEVATED
Artificial Intelligence0.771.0hELEVATED
M&A0.671.2hSUBCRITICAL
Interest Rates0.660.7hSUBCRITICAL
Semiconductors0.631.0hSUBCRITICAL
Inflation0.601.5hSUBCRITICAL
Cloud & Data Centers0.581.3hSUBCRITICAL

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

Market feed volume

Scored today97
Yesterday, same hour1,390
Projected close of day1,919
Daily average1,340
Flow ratio vs normal1.18×
Total in corpus143,339

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