Market-wide mood and structural macro context — separate from per-asset analysis. Pulse refreshes hourly; Macro indicators every six hours.
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Crypto Fear & Greed
VIX (Equity volatility)
Bond volatility (Bond VIX)
Risk-on / Risk-off
Aggregate sentiment by category
Each category averages the per-asset Total Sentiment across a representative basket — Stocks: AAPL/MSFT/NVDA/JPM/XOM · ETFs: SPY/QQQ/IWM/EEM/GLD · Bonds: TLT/IEF/BND/LQD/HYG · Crypto: BTC/ETH/SOL/BNB · Metals: Gold/Silver. Same Loughran-McDonald-derived lexicon and per-asset weighting (News 1.0, Bluesky 0.5) the asset detail page uses.
Top movers — 7d % change
Top 10 assets ranks a curated universe of ~22 stocks/ETFs/bonds/metals (AAPL, NVDA, TSLA, SPY, QQQ, TLT, GLD, XAG, etc.) by 7-day close-to-close % change. Top 10 crypto uses ~12 mid/large-cap symbols (BTC, ETH, SOL, MATIC, AVAX, LINK, ARB, etc.). Both pools share the same /api/macro/pulse SWR cache — re-rendered every 3h in the background, served instantly from cache otherwise.
Top 10 assets
Top 10 crypto
Crypto market — 7d gainers & losers
The top-250 coins by market cap (CoinGecko, keyless) ranked by 7-day price change, with a $50M market-cap floor so thin micro-caps don't dominate. Distinct from the "Top movers" above, which tracks only the app's curated basket — this is the whole large-cap crypto market. Cached 1h.
How to read it: the left column is where money rushed in over the last week, the right where it rushed out. A gainers list full of one narrative (AI tokens, memecoins, one ecosystem) tells you what the market is chasing; broad double-digit losses across the board signal de-risking rather than rotation.
Top 10 gainers (7d)
Top 10 losers (7d)
Trending tokens on-chain
Tokens with the strongest on-chain momentum right now (last 24h — Moralis defines the window; a 7-day variant isn't offered) across EVM chains + Solana: DEX volume, buyer counts and price action combined. Requires the Moralis Pro plan — on a free-tier key this section shows a note instead. Cached 1h.
How to read it: these are the tokens crypto traders are piling into on-chain right now — early attention, not necessarily quality. Useful as a what's-hot radar; treat entries with tiny market caps as speculative flow, and cross-check anything interesting against its Fundamentals page before acting.
Hyperliquid Funding Pulse
Average funding rate across the 10 majors (BTC, ETH, SOL, BNB, XRP, DOGE, ADA, AVAX, LINK, LTC) on Hyperliquid main perps — a sentiment-of-leverage proxy. Positive = longs paying shorts (crowded long bias), negative = shorts paying (capitulation / contrarian). The rail below shows the most-bid (long-crowded) and most-offered (short-crowded) names with significant Open Interest. Total OI and 24h volume on Hyperliquid main perps shown as a sizing reference.
Click the FED Charts tab to load FRED indicators.
Click the Crypto Charts tab to load crypto flows & DeFi.
Crypto ETF Flows
Per-coin US spot-ETF data from SoSoValue. Daily net flow = share creations minus redemptions in USD (green = money entering the ETFs, red = leaving). AUM = total assets the ETFs hold. Cumulative net inflow = every flow summed since each product launched. Covers Bitcoin, Ethereum, XRP and Solana — Cardano has no spot ETF, so it's omitted. Requires a SoSoValue API key (SOSOVALUE_API_KEY); 6h cache.
How to read it: green bars are days money flowed into the spot ETFs (institutional buying); red bars are outflows (selling/redemptions); the AUM line that follows each coin is total ETF assets. Sustained inflows with rising AUM = accumulation; a run of red with falling AUM = distribution — often a leading tell for the spot price.
Stablecoins & DeFi TVL
Stablecoin supply is the total USD value of all stablecoins — dry powder on-chain; a rising supply means capital is parked and ready to deploy. Total DeFi TVL is the dollar value locked across DeFi protocols — a risk-appetite gauge for on-chain capital. Both from DefiLlama (keyless), 6h cache.
Click the Asset Regimes tab to load.
VIX (Equity volatility)
Risk-on / Risk-off
Bond-curve quadrant
Regime history — last 2 years
FED yield-curve regime
Click the AI & Valuation tab to load.
AI bubble & equity valuation
Four gauges of whether the AI-driven market is a bubble. Tech vs market P/E tracks how far the Technology sector's valuation has pulled away from the rest of the market. Sector P/E today ranks every sector's valuation right now. Magnificent 7 leadership shows how much a handful of AI giants are driving the whole S&P 500. AI bellwether valuations lists what investors pay per dollar of earnings/sales for the individual leaders. Sector & bellwether data from Financial Modeling Prep (needs FMP_API_KEY); the Mag-7 line uses Twelve Data and always renders. Cached 24h.
Macro Momentum — growth · inflation · liquidity
A port of Nik Patel's Macro Market Model: three weekly momentum composites — Growth, Inflation, Liquidity — each blending a slow month-end composite z-score (0.75) with a fast 13-week impulse (0.25) across weighted macro inputs. Built on free sources (FRED + Twelve Data), so a few original inputs are substituted or dropped — the deviations are listed on each card. Weekly cadence, cached 24h. Descriptive market context only — not investment advice.
Click the Macro Momentum tab to load.
Model design: Macro Market Model — Nik Patel. Ported onto free data sources; some inputs substituted or dropped (listed per card). Descriptive, not investment advice.