Fear and Greed Index - Last 30 Days

Monthly sentiment analysis and medium-term market psychology

Updating...

30-Day Average Sentiment

19
30-Day VIX Average - Mixed Conditions
Period: 8/2/2025 to 9/1/2025

Monthly Trends

30-Day Average:19
Current VIX:20
Volatility Regime:Low Vol
Trend Persistence:Stable

30-Day Market Sentiment Analysis

4 Metrics

30-Day VIX Average

19.35
vs Historical
-3.2%
Confidence90%

Volatility Regime

Normal Regime
Confidence85%

Mean Reversion Signal

Neutral
Confidence60%

Risk Assessment

Balanced
Confidence80%

Volatility Regime

Regime

30-day average VIX of 19 indicates a low volatility environment with mixed conditions characteristics.

Mean Reversion Potential

Reversion

Moderate volatility suggests balanced market conditions without extreme reversion signals.

Risk Context

Risk

Balanced volatility environment supports normal risk-taking and strategic positioning.

The 30-day Fear and Greed analysis reveals medium-term sentiment patterns that often precede significant market moves. Sustained periods of extreme fear or greed create asymmetric risk-reward opportunities for informed investors who understand market psychology cycles.

30-Day Investment Implications

Balanced Market Approach

Hold

Normal volatility environment supports diversified strategies and systematic rebalancing approaches.

Risk Level
Low
Time Horizon
Medium-term
Confidence
High

Trend Following Opportunity

Buy

Moderate volatility often supports trend-following strategies and momentum investing approaches.

Risk Level
Medium
Time Horizon
Medium-term
Confidence
Medium

Frequently Asked Questions

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