Introducing QuantMood

The mood of the market,
quantified.

Six independent signal engines distilled into one composite score. Updated daily for Nifty 50 and Indian derivatives markets.

Start Free → See methodology
Market Pulse Dashboard
Sample Data — Not Live
Composite Score
+32.4
Greed
Market Mood
Cautious
Hold
Signal Strength
4 / 6
Bearish Tilt
NIFTY 50 +1.24%
BANK NIFTY -0.56%
SENSEX +0.98%
NIFTY IT +2.13%
NIFTY MIDCAP -0.32%
INDIA VIX -4.17%
FII NET +2,340 Cr
DII NET +1,120 Cr
NIFTY 50 +1.24%
BANK NIFTY -0.56%
SENSEX +0.98%
NIFTY IT +2.13%
NIFTY MIDCAP -0.32%
INDIA VIX -4.17%
FII NET +2,340 Cr
DII NET +1,120 Cr
6
Sentiment Engines
176K+
Signals Analyzed
9/9
Historical Validations
Daily
Score Updates
72
Greed
Composite Score

One number. Complete clarity.

Six independent engines converge into a single composite score from -100 to +100. No noise, no conflicting indicators. Just one number that tells you the market's true mood.

Breadth
Volatility
Momentum
FII / DII
Sentiment
Options
Multi-Engine Analysis

Six engines. Zero blind spots.

Market breadth, volatility structure, price momentum, institutional flows, sentiment indices, and options chain data — each engine independently scores the market from its unique perspective.

92%
Major alerts followed by a turn
23 of 25 alerts, 28.1 years
32 of 100 major turns called
See the full record →
Track Record

Every call, scored in public.

When the turn radar raises a major alert, the market has turned that way 92.0% of the time — across 25 alerts and 28.1 years. It also stays quiet through most turns, calling 32.0% of them. Both numbers, and every call it has ever made, are on the track record.

Methodology

Three steps to market clarity.

Data Ingestion

Every trading day, 4.4M+ price records, F&O chain data, FII/DII positions, and India VIX are sourced from NSE and BSE.

Signal Generation

176K+ normalized signals across six categories. Each indicator scored from -100 to +100 using rolling percentile ranking.

Composite Scoring

Conviction-weighted aggregation with regime classification. Nine levels from extreme fear to extreme greed, updated daily.

Under the Hood

Six independent signal engines.

Market Breadth

25%

Advance-decline ratios, new highs vs lows, and participation breadth across NIFTY 500 constituents.

Volatility Structure

20%

India VIX analysis, term structure contango/backwardation, and realized vs implied volatility gaps.

Price Momentum

15%

Multi-timeframe RSI, MACD divergences, and moving average crossovers across key indices.

FII / DII Flows

20%

Foreign and domestic institutional money flows, cumulative trends, and flow-reversal detection.

Sentiment Index

10%

Put-call ratios, smallcap vs largecap performance, and composite fear-greed sub-indicators.

Options Chain

10%

Open interest analysis, max pain calculation, change in OI across strikes, and skew analysis.

Get Started

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