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Macro

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energy · sector mood
1987
year mood -0.19 · -0.73 to -0.10 across 12 mo
Monthly mood
bearish −1 +1 bullish
-0.75 -0.38 0 +0.38 +0.75 Jan Feb Mar Apr May -0.10 Jun Jul Aug Sep Oct -0.73 Nov Dec
month values ▾
JanFebMarAprMayJunJulAugSepOctNovDec
-0.30-0.20-0.15-0.15-0.10-0.10-0.10-0.10-0.10-0.73-0.15-0.10

The energy sector is under pressure this month, weighed down by the British government’s poorly timed sale of BP shares amid a broader market crash, which amplified investor caution and eroded confidence in near-term equity performance. While macro volatility provided a challenging backdrop, the direct drag on sentiment stemmed from the execution risk around state-linked divestments in major oil names during turbulent conditions. This has reinforced a defensive posture in the sector, contributing to the bearish -0.20 read.

How this mood is scored ▾
Each day the model reads that day's news for the sector and asks, as someone who owns assets or makes their living in it: how am I feeling this month, and why? The month's mood is that running answer, tied to the specific events driving it (the story shown above). It leans on trusted, higher-impact reporting, and on the prior month when a month is quiet, so one loud headline can't swing it. The read updates daily through the month; once a month ends, its mood is locked. This year is read live from the news the pipeline actually collected (hover a bar for its story count). · last computed Jul 06, 2026
Top energy stories of 1987

No source-linked stories on record for this sector-year. The mood read above still stands; stories appear here as the pipeline processes coverage for this period.