Taking the pulse of the market through investor sentiment remains a strategic lever for anticipating flow dynamics, identifying phases of euphoria or stress, and optimizing the tactical positioning of portfolios. At CTI, our proprietary quantitative sentiment model aggregates real-time behavioral indicators, volatility measures, momentum signals, and macro-financial parameters to deliver a concise and actionable readout of market conditions. This analytical framework enables us to convert a noisy environment into a clear operational signal, supporting disciplined and proactive decision-making.
