Fear and Greed Index - Last 30 Days
Monthly sentiment analysis and medium-term market psychology
30-Day Average Sentiment
Monthly Trends
30-Day Market Sentiment Analysis
30-Day VIX Average
Volatility Regime
Mean Reversion Signal
Risk Assessment
Volatility Regime
30-day average VIX of 19 indicates a low volatility environment with mixed conditions characteristics.
Mean Reversion Potential
Moderate volatility suggests balanced market conditions without extreme reversion signals.
Risk Context
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
Normal volatility environment supports diversified strategies and systematic rebalancing approaches.
Trend Following Opportunity
Moderate volatility often supports trend-following strategies and momentum investing approaches.