Archived snapshot from 10 Aug 2026, 13:01 UTCclick here for the latest live data →

SentimentFeed

real time stock market sentiment dashboard

Generated 10 Aug 2026, 13:01 UTC
next refresh 14:01 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 & Greed62GreedFearGreed
Systemic risk28CalmCalmStressed
Market regimeSidewaysBull 44% · Side 56% · Bear 0%
Volatility (VIX)15.4Forecast 12.7% ann.
Dollar regimeMIXED10Y 4.67% · DXY 99.8

Regime read: LONG · expected +2.39% ± 5.59% over an optimal 30-day hold · signal/noise 0.43 — inside one standard deviation of noise.

Modal state is Sideways (56.1% posterior, +0.4%/yr drift), but the direction is the sign of the probability-weighted drift across all states. Bull contributes +0.0771%/day and dominates. Net +0.0762%/day.

Stock sentiment tracker — strongest tickers

TickerScoreSectorFwd P/EPEGY52w posWhat is driving it
ABNB+10.9Consumer Discretionary29.11.6599%Airbnb shares jump 17% after quarterly results beat expectationsprofitableNear 52w High
PLTR+6.8Information Technology74.52.3765%Palantir vs. Salesforce: Two Visions of Enterprise AI, One Clear WinnerprofitableExtended FWD P/EExpensive PEGY (>2)
NESR+6.8Energy11.695%National Energy Services Reunited shares jump 10% after Q2 earnings beatprofitableFwd P/E < 15Near 52w High
TEAM+4.5Information Technology22.073%Mike Cannon-Brookes says Atlassian is taming AI costsUNPROFITABLE - elevated risk
ABCL+3.8Health Care-9.773%AbCellera stock surges 22% on positive trial resultsFwd P/E < 15EV/EBITDA < 10UNPROFITABLE - 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
1ABNBLONG42.7%-0.15-0.70-0.74Hot sentiment (decayed score 10.9); Earnings catalyst (82% PM conviction); ⚠ Near 52w High
2SPCXLONG42.5%-0.26-0.56-0.71Accelerating velocity +4.2 (2 mentions/12h)
3ABCLLONG42.8%-0.26-0.60-0.96Hot sentiment (decayed score 3.8); Accelerating velocity +8.0 (2 mentions/12h); ⚠ UNPROFITABLE - elevated risk
4TEAMLONG43.1%-0.25-0.65-1.25Hot sentiment (decayed score 4.6); ⚠ UNPROFITABLE - elevated risk
5PLTRLONG43.1%-0.25-0.65-1.25Hot sentiment (decayed score 6.8); ⚠ Extended FWD P/E; Expensive PEGY (>2); Quality: F-score 8/9
6NESRLONG42.7%-0.26-0.54-1.07Hot sentiment (decayed score 6.8); Accelerating velocity +7.0 (2 mentions/12h); ⚠ Near 52w High; ⚠ Earnings in 0d — event risk inside hold window

Engine hit rate 43.4% over 221 scored calls (lower bound 37.1%), average net alpha -0.260%. 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

  • ABNBBullishEarnings82

    A massive 17% jump following a blowout earnings beat suggests strong momentum and pricing power, but conviction is capped by the potential for 'sell the news' profit-taking and macro travel spending risks.

    2026-08-10 10:50
  • DVBullishBuyout82

    Nielsen's $2.15 billion takeover of DoubleVerify is a major bullish catalyst, but the stock will likely trade at a discount to the offer price due to deal risk and the correctness of the pre-announcement run-up.

    2026-08-08 12:21
  • UTZBullishBuyout85

    The announcement of a cash buyout to take the company private is a primary catalyst for price convergence toward the offer price, though conviction is tempered by the M&A arbitrage spread and potential 'sell the news' dynamics.

    2026-08-08 11:40
  • DDOGBearishMacro85

    Datadog's 19% plunge as a leader of the software sector slide suggests systemic risk and valuation reset rather than a temporary dip, signaling a high probability of continued downward pressure.

    2026-08-08 05:11
  • SEDGBearishEarnings82

    A price collapse following an earnings beat is a classic institutional distribution signal, indicating that the 'beat' was likely priced in or based on a lowered bar, suggesting a further downward trajectory.

    2026-08-07 22:02
  • WENBearishEarnings/Guidance85

    The withdrawal of guidance and dividend slash signals a fundamental breakdown in cash flow visibility and management credibility, outweighing any 'blood in the streets' recovery narrative.

    2026-08-07 14:53
  • TDOCBearishEarnings92

    A 28% plunge following earnings is a violent confirmation of structural failure and fundamental devaluation rather than a temporary overreaction.

    2026-08-06 21:46
  • TBLABearishEarnings85

    A simultaneous earnings miss and weakened revenue outlook provides a classic 'double whammy' that triggers an aggressive re-rating of the growth narrative, outweighing any short-term dip-buying opportunities.

    2026-08-06 20:25
  • APPBearishEarnings85

    AppLovin's earnings fall is acting as a systemic catalyst for the Nasdaq, indicating a fundamental devaluation of AI-driven ad-tech valuations rather than a temporary dip.

    2026-08-06 12:49
  • ATKRBullishBuyout82

    Prysmian's all-cash acquisition of Atkore is a massive catalyst, but the risk premium and arbitrage gap prevent it from an absolute certainty of convergence to the purchase price.

    2026-08-06 04:43

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

Ticker feed — accelerating now

TickerVelocityVolStory
ABCL+8.02AbCellera stock surges 22% on positive trial results
NESR+7.02National Energy Services Reunited shares jump 10% after Q2 earnings beat
SPCX+4.22Stock Market Today: Dow Falls As Oil Prices Climb; SpaceX Stock Extends Gains (Live Coverage)

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

Under pressure

UPST-3.1Why Upstart Stock Plunged 23% in July
SLF-3.0Sun Life Financial Stock Slips as Market Caution Builds Around Insurance, Rates and Valuation
CEVA-3.0Ceva Tops Q2 Targets On Edge AI Tech Licensing
SVV-2.5Savers Value Village's CFO Cashed In Options Struck at $7.11. Here's What to Know
MGNI-2.5A Magnite Insider Kept $12 Million in Stock After Selling. Here's What to Know

Most negatively scored names in the same window.

Sector heat

Sector1W trend1D1W1M
Information Technology+15+389+519
Financials+111+317+2,861
Energy+87+177+2,331
Materialsbullish reversal+3+43-40
Health Care-25-58-255
Industrials-41-79-655
Communication Services-22-87-386
Utilities-25-145-833
Consumer Discretionary-36-166-1,309
Consumer Staples-36-192-708
Real Estate-27-201-1,522

Industry cuts (1W)

  • Artificial Intelligence+1,086
  • Electric Vehicles-254
  • Cybersecurity-247
  • Gold & Commodities-174
  • Biotechnology-130
  • FinTech-96
  • Semiconductors-93
  • Aerospace & Defense-56

Net sentiment balance per sector across each lookback window.

Theme momentum

ThemeVelocityLevel
Oil Prices+33.2+60
Employment+23.2+2
Tokenization+20.8+30
Global Markets+17.2+14
Geopolitical Risk-15.2-28
Cloud Computing-27.0+6
Geopolitics-41.0-17
Artificial Intelligence-105.8+95

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

Weekly index projection: +0.60% (80% band -2.03% to +1.67%).

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

Volatility & tail risk

Forecast volatility12.7% ann.
Percentile vs 6 months59%
Variance risk premium+2.4
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=0.06 in-sample / 0.10 OOS, worst 0.06) 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 & Gas0.801.7hELEVATED
Geopolitics0.732.3hELEVATED
Interest Rates0.650.9hSUBCRITICAL
Artificial Intelligence0.650.6hSUBCRITICAL
M&A0.601.0hSUBCRITICAL
Aerospace & Defense0.541.0hSUBCRITICAL
Semiconductors0.440.9hSUBCRITICAL
Crypto & Digital Assets0.400.9hSUBCRITICAL

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

Market feed volume

Scored today617
Yesterday, same hour1,021
Projected close of day1,340
Daily average1,343
Flow ratio vs normal0.74×
Total in corpus149,090

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