The system checks VIX + Fear & Greed live to classify current market conditions. Each regime shifts how much weight each signal type gets in the final BUY / SELL / HOLD score.
| Regime | Condition | What it means |
|---|---|---|
| PEACEFUL | VIX <15, F&G >60 | Calm market — chart patterns most reliable |
| MODERATE | VIX 15–25 | Normal conditions — balanced mix of signals |
| HIGH VOL | VIX 25–35 | Charts get noisy — fundamentals matter more |
| CRISIS | VIX >35 | Fear drives price — fundamentals anchor value |
| EARNINGS | Jan/Apr/Jul/Oct | Earnings reports dominate price movement |
--
--
$--
--
Edge Score by Trading Style
Trading Signal
--Probability Score
— factor-weighted win probability vs SPY benchmarkPrice Chart
A proprietary ensemble model trained on historical price data for this stock and its sector peers. It produces a directional probability forecast for the next trading session.
The model ingests 100+ engineered signals across five categories — Trend, Momentum, Volatility, Volume, and Pattern — along with sector-relative strength. The breakdown below shows the key signals the model is reading right now.
Independent second opinion — does not drive the main BUY/SELL/HOLD signal. Use to confirm or question the primary signal.
Analyzing stock data...