Last updated 31 Jul 2026, 19:51 UTC · updated through the trading day

S&P Global Fear and Greed Index Today

The S&P Global Fear and Greed Index today is 32/100, showing Fear. CFGI measures current S&P Global market sentiment using live market data and proprietary behavioural models. It has been Fear for 2 days. Get the next update by email, free

Live S&P Global Fear and Greed Index

The S&P Global Fear and Greed Index today is 32/100 (Fear), up from 28/100 (Fear) yesterday and down 4 points from last week's reading of 36 (Fear).

Live S&P Global Fear and Greed Score

Daily reading

CFGI.ioLast updated: 31 Jul 2026

Historical Scores

Recent S&P Global sentiment snapshots

Now
Fear
32
Previous close
Fear
28
1 week ago
Fear
36
1 month ago
Neutral
54

How do you feel about S&P Global?

1D

Timeframe

Daily view for the wider market trend.

Broad daily S&P Global market sentiment, not short-term moves.

Live S&P Global Price and Sentiment Chart

S&P Global price colored by CFGI fear and greed sentiment over the selected daily range.

This daily chart compares S&P Global price movement with live fear, greed, neutral and extreme sentiment readings for the wider market trend.

During the last 894 days, S&P Global sentiment ranged from 13 (Extreme Fear) to 86 (Extreme Greed), with the current reading sitting at 32.

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What Is the S&P Global Fear and Greed Index Today?

The S&P Global Fear and Greed Index today shows whether the current S&P Global market is being driven by fear, neutrality or greed. It gives a live sentiment reading so traders can understand whether conditions are cautious, balanced or risk-on.

Current S&P Global Fear and Greed Index Value

The current S&P Global Fear and Greed Index value is measured from 0 to 100. Lower scores suggest fear, uncertainty or weak confidence in the S&P Global market, while higher scores suggest greed, confidence or stronger risk appetite.

These multi-timeframe readings help compare long-term, medium-term, short-term and intraday S&P Global sentiment in one place.

What Does the Current S&P Global Fear and Greed Score Mean?

Fear on the S&P Global Fear and Greed Index means the market is leaning cautious. Confidence is weak and participants are more risk-averse, which can signal hesitation or early-stage weakness.

Is the S&P Global Fear and Greed Index a Buy or Sell Signal?

The S&P Global Fear and Greed Index is a market sentiment indicator, not a standalone buy or sell signal. Traders use it to understand whether fear, greed, neutral or extreme sentiment is present, then compare that reading with price action, liquidity and risk management.

Which S&P Global Fear and Greed Timeframe Should I Use?

Use the daily reading for the wider S&P Global market trend, the 4-hour reading for medium-term conditions, the 1-hour reading for short-term sentiment and the 15-minute reading for intraday moves. The best timeframe depends on how long you plan to hold or monitor the market.

How Often Is the S&P Global Fear and Greed Index Updated?

The S&P Global Fear and Greed Index updates through the US trading day across four timeframes (15-minute, 1-hour, 4-hour and daily) while the market is open, recalculated from SPGI's price action and nine other signals.

How to Read the S&P Global Fear and Greed Index Chart

The S&P Global Fear and Greed Index chart shows how S&P Global sentiment has moved through different conditions over time. Use it to compare the current reading with previous periods of fear, greed, neutrality and extreme market conditions.

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Embed live S&P Global sentiment with a lightweight CFGI widget.

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How CFGI Calculates the S&P Global Fear and Greed Index

CFGI combines live S&P Global market signals into one fear and greed reading. The modules below show whether the current S&P Global score is being driven by price action, impulse, volatility, volume, technicals, social sentiment, dominance, search interest, whale activity or order book pressure.

Ten signals, one number. Every signal is scored against this asset's own history, so a reading of greed means greedier than usual for this asset, never a raw comparison between one market and another.

Price Score

30% of score
46Neutral

The price score measures S&P Global price action and trend direction, showing whether the S&P Global market is moving with strength, weakness or uncertainty.

Volatility Score

5% of score
21Fear

The volatility score looks at how aggressively the S&P Global market is moving. Higher volatility can signal fear, panic, excitement or unstable market conditions.

Volume Score

5% of score
7Extreme Fear

The volume score measures S&P Global market trading activity, showing whether participation is rising, falling or confirming the current move.

Impulse Score

30% of score
20Fear

The impulse score tracks the strength and speed of recent S&P Global market movement to identify sudden changes in momentum.

Technical Score

5% of score
36Fear

The technical score uses market indicators to assess whether the S&P Global market is showing bullish, bearish or neutral trading conditions.

Social Score

5% of score
77Greed

The social score tracks how market participants are reacting to S&P Global across social and community-driven signals.

Dominance Score

5% of score
22Fear

The dominance score measures how S&P Global is performing relative to the wider crypto market, helping show where attention and capital are moving.

Search Score

5% of score
30Fear

The search score tracks interest and demand around S&P Global by measuring changes in search behaviour and market attention.

Whale Score

5% of score
50Neutral

The whale score looks at larger participant activity to help identify whether major holders may be influencing S&P Global market sentiment.

Order Book Score

5% of score
4Extreme Fear

The order book score measures buying and selling pressure to show whether S&P Global market depth is leaning toward demand, supply or balanced conditions.

S&P Global Fear and Greed Components

  • Price Score: 46 (Neutral)
  • Volatility Score: 21 (Fear)
  • Volume Score: 7 (Extreme Fear)
  • Impulse Score: 20 (Fear)
  • Technical Score: 36 (Fear)
  • Social Score: 77 (Greed)
  • Dominance Score: 22 (Fear)
  • Search Score: 30 (Fear)
  • Whale Score: 50 (Neutral)
  • Order Book Score: 4 (Extreme Fear)

Build With Live S&P Global Sentiment Data

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S&P Global Market Sentiment Today

S&P Global market sentiment today is shaped by price action, volatility, trading volume, technical indicators, social activity and wider market behaviour. CFGI combines these signals to show how S&P Global sentiment is changing throughout the day.

Compare S&P Global with the whole-market reading on the Stock Market Fear and Greed Index, or every company on the stock fear and greed directory.

What Is S&P Global?

The scorekeeper, rattled.

S&P Global is the company that grades everyone else. It owns one of the two dominant credit rating agencies, the index business behind the S&P 500 and the Dow, the Platts price assessments that oil cargoes settle against, and a market intelligence arm spanning mobility, energy transition and sustainability data. Its products are the yardsticks other people's risk gets measured with.

On the CFGI S&P Global fear and greed index the yardstick is the jumpiest thing on the shelf. It has closed 16 days in Extreme Fear across 273 sessions, which ranks it 10th out of the stocks we track for time spent in the deepest zone.

The CFGI read: The deepest reading, 13 out of 100 on 25 September 2025 with the shares at $484.94, arrived on an unremarkable day for everyone else: 83 of the 247 stocks we scored were in Fear or worse and only 4 in Extreme Fear. The longer episode came in winter. From 3 to 12 February 2026 S&P Global held 8 consecutive sessions in Extreme Fear, its longest such run, straddling 5 February, the single worst day of stock market panic in our window.

S&P Global Fear and Greed Index History

Q3 2026 breakdown. The table below updates daily.

The other extreme was brief and violent. On 6 and 7 July 2026 the crowd printed two consecutive Extreme Greed days, peaking at 84 out of 100 on 7 July with the shares at $447.22, two of only three such days in the entire window. Two sessions later, on 9 July, the score fell 41 points, from 84 to 43, the sharpest single-day collapse of the record. Sixteen days in Extreme Fear against three in Extreme Greed is the whole story of this crowd in one ratio.

Autumn 2025 set the cold tone with 15 consecutive sessions in Fear or worse from 18 September to 8 October, broken eventually by a 31-point jump on 3 November, 35 to 66. Across the full window the price fell 17.2%, from $514.58 to $425.99. The low print was $373.75 on 25 June 2026 and the high $564.15 on 14 August 2025.

The crowd closed at 36, in Fear, on 24 July 2026, with an average across the thirteen months of 48 out of 100. There is something quietly instructive in a ratings and index business ranking 10th of the stocks we track for days spent in Extreme Fear. The company that publishes the benchmark half the market is judged against has one of the more anxious crowds on the Fear and Greed Index.

Days by zone, the last 365 days (250 readings)

S&P Global Fear and Greed: days by zone, the last 365 days (250 readings)
Extreme FearFearNeutralGreedExtreme Greed
Extreme Fear: 16Fear: 61Neutral: 106Greed: 64Extreme Greed: 3

Source: CFGI dataset, 250 daily readings across the 365 days to 31 Jul 2026. Updates daily.

For the market S&P Global trades in, see the stock fear and greed index, which scores the whole US market on the same 0 to 100 scale.

S&P Global Inc. (SPGI) Stock Fundamentals, Analyst Ratings & Financials

Beyond the sentiment score: the fundamentals, analyst views and financials for S&P Global Inc. (SPGI), for context alongside the live Fear and Greed reading above. Company data via Financial Modeling Prep.

About S&P Global Inc.

Sector
Financial Services
Industry
Financial - Data & Stock Exchanges
CEO
Martina L. Cheung
Employees
44,500
Exchange
NYSE
Headquarters
New York, NY, US
Listed
Feb 21, 1973
Website
www.spglobal.com

Key Stats & Valuation

Market cap
$121.4B
P/E (TTM)
25.1
P/B
3.85
Net margin
30.53%
Beta
1.08
Dividend yield
0.94%
52-week range
$361 – $548
27% of range

Analyst Ratings & Price Target

What Wall Street thinks: the consensus rating and average price target from 28 independent equity analysts covering SPGI.

Wall Street consensus
Buy
Based on 28 analysts: 24 buy · 4 hold · 0 sell
Analyst average target
$541.22
+31% implied vs current price
analyst range $498 to $625

Ratings and price targets are aggregated from independent Wall Street analysts (data via Financial Modeling Prep). They are not investment advice or a recommendation from CFGI.

Earnings

Next earnings: Oct 29, 2026 · EPS estimate $4.42 per share.

ReportedEPS actualEstimateSurprise
Jul 28, 2026$4.83$4.81+0%
Apr 28, 2026$4.70$4.58+3%
Feb 10, 2026$4.30$4.33-1%
Oct 30, 2025$4.73$4.42+7%

EPS figures are earnings per share (USD), not total company profit.

Financials

Annual revenue, net income and earnings per share. “Growth” is year-over-year revenue.

YearRevenueGrowthNet incomeEPS
2025$15.34B+8%$4.47B$14.67
2024$14.21B+14%$3.85B$12.36
2023$12.50B+12%$2.63B$8.25
2022$11.18B+35%$3.25B$10.25
2021$8.30B+11%$3.02B$12.56
2020$7.44B+11%$2.34B$9.71
2019$6.70B+7%$2.12B$8.65
2018$6.26B+3%$1.96B$7.80
2017$6.06B+7%$1.50B$5.84
2016$5.66B+7%$2.11B$8.02
2015$5.31B+5%$1.16B$4.26
2014$5.05B+4%$-115.0M$-0.42
2013$4.88B+10%$1.38B$5.01
2012$4.45B-29%$437.0M$1.57
2011$6.25B+1%$911.0M$3.05
2010$6.17B+4%$828.1M$2.68
2009$5.95B-6%$730.5M$2.34
2008$6.36B-6%$799.5M$2.53
2007$6.77B+8%$1.01B$3.01
2006$6.26B+4%$882.2M$2.47
2005$6.00B+14%$844.3M$2.25
2004$5.25B+9%$755.8M$1.99
2003$4.83B+1%$687.6M$1.81
2002$4.79B+3%$576.8M$1.50
2001$4.65B+9%$377.0M$0.98
2000$4.28B+7%$403.8M$1.04
1999$3.99B+7%$425.8M$1.09
1998$3.73B+6%$333.2M$0.84
1997$3.53B+15%$290.7M$0.74
1996$3.07B+5%$495.7M$1.24
1995$2.94B+6%$227.1M$0.57
1994$2.76B+26%$203.1M$0.51
1993$2.20B+7%$11.4M$0.03
1992$2.05B+6%$28.6M$0.07
1991$1.94B+0%$148.0M$0.38
1990$1.94B+8%$172.5M$0.45
1989$1.79B-2%$39.8M$0.11
1988$1.82B+4%$185.5M$0.48
1987$1.75B+11%$164.8M$0.41
1986$1.58B$154.0M$0.38
Revenue by year

Bar = revenue; green grew, red fell vs the prior year.

2025
+8%
2024
+14%
2023
+12%
2022
+35%
2021
+11%
2020
+11%
2019
+7%
2018
+3%
2017
+7%
2016
+7%

Dividends

Dividend yield
0.94%
Last dividend
$0.97
Ex-date
Aug 26, 2026

S&P Global Fear and Greed Index FAQ

What is the S&P Global Fear and Greed Index today?

The S&P Global Fear and Greed Index today is 32/100 on the daily view, showing Fear. It summarizes live S&P Global market sentiment on a 0 to 100 scale.

How is the S&P Global Fear and Greed Index calculated?

CFGI combines price action, impulse, volatility, volume, technicals, social sentiment, dominance, search interest, whale activity and order book pressure into one S&P Global fear and greed reading.

What is a good S&P Global Fear and Greed Index reading?

There is no single good reading, because the index measures mood rather than value. Extreme Fear below 25 marks the points where sentiment is most washed out, and Extreme Greed above 75 the points carrying the most risk, so what counts as good depends on whether you are buying or selling.

How accurate is the S&P Global Fear and Greed Index?

It reads sentiment accurately and predicts price poorly, and those are two different things. The score reflects what the S&P Global market feels right now across ten live inputs, so treat it as a risk gauge rather than a forecast: it tells you how one-sided the crowd has become, not what happens next.

What does the S&P Global Fear and Greed Index measure?

It measures the emotional state of the S&P Global market on a 0 to 100 scale, from extreme fear at 0 to extreme greed at 100. CFGI builds that number from ten indicators including price action, volatility, volume, momentum, technicals and social sentiment, rather than from price alone.

How do I use the S&P Global Fear and Greed Index?

Most people use it to size risk rather than to time entries. The extreme readings are the useful ones: they flag when the crowd has become one-sided, which is when caution costs least and greed costs most. Read it alongside price and volume, never on its own.

How often is the S&P Global Fear and Greed Index updated?

The S&P Global Fear and Greed Index is updated every 15 minutes, so the live reading can change as S&P Global market conditions shift.

What does a low S&P Global Fear and Greed score mean?

A low score (0 to 39) signals fear or extreme fear, where traders are cautious, risk-averse or pessimistic about the S&P Global market.

What does a high S&P Global Fear and Greed score mean?

A high score (60 to 100) signals greed or extreme greed, where confidence, risk appetite and bullish sentiment dominate the S&P Global market.

Can I get alerts when the S&P Global Fear and Greed Index changes?

Yes. CFGI alerts let you track S&P Global sentiment across daily, 4-hour, 1-hour and 15-minute timeframes. Create alerts for fear, greed, extreme readings or specific S&P Global Fear and Greed Index score changes.

Can I add the S&P Global Fear and Greed Index to my website?

Yes. The CFGI widget lets you embed a live S&P Global Fear and Greed Index on your website, so visitors can see current S&P Global sentiment, live scores and market conditions without you building the data system yourself.

Can I use S&P Global Fear and Greed data in my own app or trading bot?

Yes. The CFGI API gives developers access to S&P Global sentiment data, multi-timeframe fear and greed scores and market signals for dashboards, trading bots, apps and research tools.

Put the S&P Global Fear and Greed Index on Your Site

The widget is free, it updates itself, and it needs no account. Paste one line and your readers see the live score without leaving your page. If you would rather have the raw numbers, the API serves the same data for dashboards, bots and research.

About CFGI

The per-asset sentiment record.

CFGI is a market sentiment data company that scores crowd emotion from 0 to 100 across crypto and stock markets. Crypto readings cover the whole market and hundreds of individual assets across 15-minute, 1-hour, 4-hour and daily views. The stock index gives a live daily reading for wider stock market sentiment.

Every CFGI score is built from 10 indicators: price, volatility, volume, impulse, technical analysis, social media, dominance, search interest, whale movements and order book pressure. The same data powers our API, alerts and embeddable widgets.