Indeks strahu in pohlepa

Spremljaj tržno raspoloženje in psihologijo vlagateljev s podatkami o strahu in pohlepu v realnem času.

7 tržnih kazalnikov

Na podlagi sedmih enakomerno obteženih tržnih signalov

Rezultat 0–100

0 = maksimalni strah, 100 = maksimalni pohlep

Posodobitve v realnem času

Ponovno izračunano ob razpoložljivosti novih tržnih podatkov

Fear & Greed Index

0255075100EXTREMEFEAR FEAR NEUTRAL GREED EXTREMEGREED51Nevtralno

The Fear & Greed Index measures investor sentiment using seven equally-weighted indicators: market momentum, stock price strength, stock price breadth, put/call options, junk bond demand, market volatility, and safe haven demand. A score near 0 represents extreme fear; a score near 100 represents extreme greed.

Zgodovinske vrednosti

45
Prejšnje zaprtje
Nevtralno
41
Pred 1 tednom
Strah

Indeks strahu in pohlepa — 12-mesečna zgodovina

The 12-month history of the CNN Fear & Greed Index shows how market sentiment has shifted over the past year. Extreme readings often coincide with major market turning points.

Skrajni strah Strah Nevtralno Pohlep Skrajni pohlep

Kripto Fear & Greed Index

Kazalnik razpolozenja kripto trga

Pridobite podatke Fear & Greed prek API-ja

Programsko dostopajte do podatkov indeksa Fear & Greed v realnem času in zgodovinskih podatkov. Idealno za kvantitativne modele, nadzorne plošče in avtomatizirane strategije trgovanja.

Tržni zagon

Currently, the S&P 500 is above its 125-day moving average, indicating positive momentum.
  • 1 mesec

  • 3 mesece

  • YTD

  • Največ

S&P 500
125-day moving average
Details
Date
S&P 500
125-day moving average
3. avg. 2026
7609,18 points
7144,57 points
3. avg. 2026
7605,21 points
7144,54 points
3. avg. 2026
7604,77 points
7144,53 points
3. avg. 2026
7601,39 points
7144,51 points
3. avg. 2026
7600,50 points
7144,50 points
3. avg. 2026
7600,50 points
7144,50 points
3. avg. 2026
7600,50 points
7144,50 points
3. avg. 2026
7600,50 points
7144,50 points

Moč cen delnic

Currently showing more highs than lows, which is a bullish sign.
  • 1 mesec

  • 3 mesece

  • YTD

  • Največ

Net new 52-week highs and lows on the NYSE
Details
Date
Net new 52-week highs and lows on the NYSE
4. avg. 2026
1,04 points
4. avg. 2026
1,04 points
4. avg. 2026
1,04 points
4. avg. 2026
1,04 points
4. avg. 2026
1,04 points
4. avg. 2026
1,04 points
4. avg. 2026
1,04 points
4. avg. 2026
0,98 points

Širina cen delnic

Currently showing positive breadth, indicating more buying than selling volume.
  • 1 mesec

  • 3 mesece

  • YTD

  • Največ

McClellan Volume Summation Index
Details
Date
McClellan Volume Summation Index
4. avg. 2026
874,59 points
4. avg. 2026
874,59 points
4. avg. 2026
874,59 points
4. avg. 2026
874,59 points
4. avg. 2026
874,59 points
4. avg. 2026
874,59 points
4. avg. 2026
874,59 points
4. avg. 2026
909,40 points

Put/Call opcije

Current ratio is 0.79, which is below 1 and considered bullish.
  • 1 mesec

  • 3 mesece

  • YTD

  • Največ

5-day average put/call ratio
Details
Date
5-day average put/call ratio
3. avg. 2026
0,79 base
3. avg. 2026
0,79 base
3. avg. 2026
0,79 base
3. avg. 2026
0,79 base
3. avg. 2026
0,79 base
3. avg. 2026
0,79 base
3. avg. 2026
0,79 base
3. avg. 2026
0,79 base

Tržna volatilnost

Currently, the VIX is below its 50-day moving average, indicating decreasing volatility.
  • 1 mesec

  • 3 mesece

  • YTD

  • Največ

VIX
50-day moving average
Details
Date
VIX
50-day moving average
4. avg. 2026
15,69 points
17,36 points
4. avg. 2026
15,69 points
17,36 points
4. avg. 2026
15,71 points
17,36 points
4. avg. 2026
15,72 points
17,36 points
4. avg. 2026
15,72 points
17,36 points
4. avg. 2026
15,80 points
17,37 points
4. avg. 2026
15,83 points
17,37 points
4. avg. 2026
15,83 points
17,37 points

Povpraševanje po varnih naložbah

Currently showing bonds outperforming stocks, indicating investors are seeking safety.
  • 1 mesec

  • 3 mesece

  • YTD

  • Največ

Difference in 20-day stock and bond returns
Details
Date
Difference in 20-day stock and bond returns
3. avg. 2026
2,37 %
3. avg. 2026
2,42 %
3. avg. 2026
2,38 %
3. avg. 2026
2,42 %
3. avg. 2026
2,41 %
3. avg. 2026
2,37 %
3. avg. 2026
2,33 %
3. avg. 2026
2,33 %

How the Fear & Greed Index works

The Fear & Greed Index measures investor sentiment using seven equally-weighted indicators: market momentum, stock price strength, stock price breadth, put/call options, junk bond demand, market volatility, and safe haven demand. A score near 0 represents extreme fear; a score near 100 represents extreme greed.

Tržni zagon

Compares the S&P 500 against its 125-day moving average to gauge whether the market is trending up or down.

Moč cen delnic

Measures the number of stocks hitting 52-week highs versus 52-week lows on the NYSE.

Širina cen delnic

Analyzes the volume of shares trading in advancing stocks versus declining stocks.

Put/Call opcije

Compares put option volume to call option volume. Higher put/call ratios indicate more fear.

Tržna volatilnost

Tracks the CBOE Volatility Index (VIX) against its 50-day moving average. Higher VIX readings signal fear.

Povpraševanje po varnih naložbah

Measures the difference in returns between stocks and Treasury bonds. Investors flock to bonds during fear.

How to use the Fear & Greed Index for investing

The Fear & Greed Index is a contrarian indicator. When extreme fear dominates, it may signal buying opportunities as stocks become oversold. When extreme greed prevails, the market may be overvalued and due for a correction. Experienced investors use this tool alongside fundamental analysis to time entries and exits. The index should not be used in isolation, but as part of a comprehensive investment strategy.

Frequently Asked Questions

What is the Fear and Greed Index?
The Fear and Greed Index is a market sentiment indicator that measures investor emotions on a scale from 0 (extreme fear) to 100 (extreme greed). It combines seven equally-weighted market indicators to produce a single score reflecting the current mood of the stock market.
How often is the Fear and Greed Index updated?
The Fear and Greed Index is updated in real-time as new market data becomes available during trading hours. The seven underlying indicators are continuously recalculated throughout the trading day.
What are the seven indicators in the Fear and Greed Index?
The seven indicators are: Market Momentum (S&P 500 vs 125-day MA), Stock Price Strength (52-week highs vs lows), Stock Price Breadth (advancing vs declining volume), Put/Call Options ratio, Market Volatility (VIX), Safe Haven Demand (stocks vs bonds), and Junk Bond Demand (yield spread).
Should I buy when the Fear and Greed Index shows extreme fear?
While extreme fear readings historically coincide with market bottoms and potential buying opportunities, the index should never be used as the sole basis for investment decisions. Combine it with fundamental analysis, technical indicators, and your overall investment strategy.
What is a normal reading on the Fear and Greed Index?
A reading between 45 and 55 is considered neutral. Below 25 indicates extreme fear, 25-45 indicates fear, 55-75 indicates greed, and above 75 indicates extreme greed. The index tends to fluctuate with market cycles and economic events.

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