What it answers
自研 Fear & Greed Composite,把波动、期权保护、信用利差、权益扩散和动量统一转成分位后合成。
StressSignal Risk Desk
Definition, latest reading, chart and related paths so you can read the indicator in context.
Disclaimer: this page is for market observation only, not investment advice. Risk note: indicators help you observe market conditions. They are not trading advice. Always add context, events, and position risk.
自研 Fear & Greed Composite,把波动、期权保护、信用利差、权益扩散和动量统一转成分位后合成。
Risk spreading · 1Y percentile 89.6%
我会先看 composite,再拆开看是哪一类因子拖累:VIX、Put/Call、信用、扩散还是动量。
No history in this range yet. Try another range or wait for the next sync.
自研 Fear & Greed Composite,把波动、期权保护、信用利差、权益扩散和动量统一转成分位后合成。
Indicator updated: June 1, 2026
Update frequency: Daily
分数越高越偏风险偏好改善,越低越偏防守或恐惧。
我会先看 composite,再拆开看是哪一类因子拖累:VIX、Put/Call、信用、扩散还是动量。
该分数是内部方法,不绑定外部成品指数;因子缺失时应先读分项,不强行给综合结论。
Disclaimer: this page is for market observation only, not investment advice.
Method guide: how to read this signal.
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