Price intelligence
Each metric in the price intelligence rubric ships with a bilingual education sheet. Click any identifier to open the detailed page (definition, how to read, key zones, historical context).
cross-asset
| Identifier | Name | Short description | Tier |
|---|---|---|---|
pi-eth-btc-ratio | ETH / BTC Ratio | Ethereum priced in Bitcoin - the benchmark of altcoin relative strength vs BTC across the cycle. | pro |
pi-sol-btc-ratio | SOL / BTC Ratio | Solana priced in Bitcoin - high-beta altcoin relative strength gauge vs BTC. | pro |
pi-sol-eth-ratio | SOL / ETH Ratio | Solana priced in Ethereum - the L1 rotation gauge between the two largest smart-contract platforms. | pro |
pi-relative-strength | Relative Strength Matrix | 30-day rate of change of BTC, ETH and SOL side by side - which major is leading or lagging the pack. | pro |
pi-dominance-flow | BTC vs ETH Dominance | Share of combined BTC + ETH market value held by each - the classic risk-on / risk-off rotation read. | pro |
pi-vol-momentum | Momentum Leaderboard | 30-day momentum of BTC, ETH and SOL ranked together - a compact read of where capital is currently winning. | performance |
pi-staking-rotation | ETH ↔ SOL Rotation | 14-day momentum of ETH and SOL plus their differential - the proof-of-stake L1 capital rotation gauge. | performance |
pi-capital-rotation | Capital Rotation Score | A composite score of how strongly capital is rotating from BTC into ETH and SOL, derived from each leg's 30-day momentum. | performance |
pi-risk-appetite | Risk Appetite Index | 0-100 index of how much market movement is concentrated in the most speculative major (SOL) vs the safest (BTC). | performance |
momentum
| Identifier | Name | Short description | Tier |
|---|---|---|---|
pi-rsi-14 | RSI (14) | Wilder's Relative Strength Index over 14 periods - bounded 0-100 momentum oscillator with overbought (70) and oversold (30) zones. | free |
pi-macd | MACD (12/26/9) | Moving Average Convergence Divergence - MACD line (EMA 12 - EMA 26), signal line (EMA 9) and the green/red histogram of their difference. | free |
pi-stochastic-rsi | Stochastic RSI | Stochastic oscillator applied to the RSI rather than price - %K and %D lines amplify momentum extremes with overbought (80) / oversold (20) zones. | pro |
pi-adx-di | ADX + DI | Average Directional Index with +DI and -DI lines - measures trend strength (ADX) and direction (DI crossovers), with 25 as the trending threshold. | pro |
pi-cci | CCI (20) | Commodity Channel Index over 20 periods - measures deviation of the typical price from its average, with ±100 normal bounds and ±200 extreme zones. | pro |
pi-williams-r | Williams %R | Larry Williams %R over 14 periods - inverted momentum oscillator bounded -100 to 0, with overbought above -20 and oversold below -80. | pro |
pi-choppiness-index | Choppiness Index | Chande's Choppiness Index over 14 periods - bounded 0-100 regime gauge where above 61.8 marks a range (choppy) market and below 38.2 marks a trending market. | pro |
pi-roc-multi-period | ROC Multi-Period | Rate of Change across four horizons (14D, 30D, 90D, 365D) - percentage momentum stacked from short-term swings to the annual trend, centered on the zero line. | pro |
pi-roi-multi-period | ROI Multi-Period | Rolling return on investment across four horizons (1 week, 1 month, 1 quarter, 1 year) - percentage performance stacked from short-term swings to the annual trend, centered on the zero line. | pro |
pi-multi-tf-rsi | Multi-Timeframe RSI | Wilder's RSI computed across five horizons (daily, 3-day, weekly, biweekly, monthly) on a single 0-100 panel - aligns short-term momentum against the higher-timeframe regime in one read. | pro |
pi-momentum-index | Momentum Index | A single 0-100 momentum gauge fusing RSI, MACD and ADX. Each normalised over a rolling window and weight-averaged into one reading. Above 60 reads as strong momentum, below 40 as weak. | pro |
pi-adaptive-rsi | Adaptive RSI | RSI (14) with overbought/oversold bands that adapt to each asset's own recent RSI behaviour (rolling mean ± deviation) instead of the fixed 70/30 lines that misfire across assets and regimes. | pro |
pi-squeeze-momentum | Squeeze Momentum | TTM Squeeze (LazyBear). A linear-regression momentum histogram that detects volatility compression (Bollinger Bands inside the Keltner Channels = a coiled spring). The release with momentum direction anticipates breakouts. | pro |
pi-wavetrend | WaveTrend Oscillator | A smoothed momentum oscillator widely used in crypto (LazyBear, the core of the Market Cipher family). Measures how far typical price deviates from its EMA, double-smoothed. Above +60 = overbought, below −60 = oversold; WT1/WT2 crosses at extremes are watched closely. | pro |
pi-chande-momentum | Chande Momentum Oscillator | Chande's unsmoothed momentum gauge (1994) bounded ±100 and centered on zero, raw 9-period gains vs losses, more reactive than RSI. Three reading windows on one pane: daily, weekly and MONTHLY closes. The monthly line is the cycle-regime read whose historical extremes have clustered near major cycle turning points. | pro |
trend
| Identifier | Name | Short description | Tier |
|---|---|---|---|
pi-sma-ema-fan-weekly | SMA Fan Weekly | Five weekly-equivalent SMAs (8/21/50/100/200W) - multi-timeframe trend structure across cycles. | pro |
pi-guppy-mma-ribbon | Guppy MMA Ribbon | Guppy MMA ribbon - trader group EMAs (3/10/15) vs investor group (30/60) envelopes. Spread widening signals trend strength, compression precedes regime shifts. | pro |
pi-hull-ma-curvature | Hull MA + Curvature | Hull Moving Average (55) color-coded by its slope sign - reduced-lag trend line where green/red flips mark inflection points. | pro |
pi-kaufman-ama-er | Kaufman AMA + Efficiency Ratio | Kaufman Adaptive Moving Average - smoothing speed adapts to the Efficiency Ratio (trend purity 0-1) : fast in clean trends, flat in noisy ranges. | pro |
pi-ichimoku-cloud | Ichimoku Cloud | Tenkan 9, Kijun 26, Senkou A/B projected +26, Chikou backshift -26 - the five Ichimoku Kinko Hyo lines (the cloud is the area between Senkou A and B). | pro |
pi-supertrend | Supertrend | Trailing band based on (high+low)/2 ± 3×ATR(10) with hysteresis - clean trend-flip detection without noise. | pro |
pi-anchored-vwap | Anchored VWAP | Volume-Weighted Average Price cumulated from three dynamic anchors (cycle low, all-time high, year start) - institutional cost basis tracking. | pro |
pi-bmsb | Bull Market Support Band | SMA 20W and EMA 21W ribbon on weekly close - dynamic support / resistance through bull and bear cycles. | free |
pi-mayer-multiple | Mayer Multiple | Close divided by 200-day SMA - bounded ratio with historical cycle zones around 0.8 and 2.4. | free |
pi-2-year-ma-multiplier | 2-Year MA Multiplier | SMA 730D paired with SMA 730D × 5 - long-term cycle envelope with historical sell zones near the multiplier line. | free |
pi-donchian-channels | Donchian Channels | Highest high and lowest low over 20 periods plus midline - breakout system pioneered by Richard Donchian. | pro |
pi-kalman-residual-zscore | Kalman Residual Z-Score | State-space Kalman filter residual normalised as a rolling 90-day z-score - readings beyond ±2σ flag statistical extension vs adaptive fair value. | performance |
pi-fibonacci-retracement | Fibonacci Retracement | Five horizontal levels at 0.236, 0.382, 0.5, 0.618, 0.786 from rolling cycle swing high/low. | free |
pi-fibonacci-extension | Fibonacci Extension | ATH reference plus four extension levels at 1.272, 1.618, 2.0, 2.618 of the cycle range - projection targets beyond the prior high. | free |
pi-fibonacci-fan | Fibonacci Fan | Three diagonal fan lines from the cycle low through the 0.382 / 0.5 / 0.618 retracements of the advance - dynamic Fibonacci support / resistance. | free |
pi-200w-sma | 200-Week SMA Divider | The 200-week simple moving average - the long-term bull/bear divider. Price holding above it marks structural bull regimes; deep excursions below it have historically tracked cycle bottoms. | free |
pi-200wma-growth-rate | 200-Week MA Growth Rate | The year-over-year growth rate of the 200-week moving average - the structural compounding rate of the asset, stripped of market noise. Reveals whether long-term growth is accelerating, plateauing or contracting. | pro |
pi-rolling-cagr-heatmap | Rolling CAGR Heatmap | A 2D map of historical annualized returns: each cell answers "if I had bought on this month and held for N years, what was my annualized return?". Reveals which entry windows rewarded patience and how holding duration smooths outcomes. | free |
pi-cagr-distribution | CAGR Distribution by Holding Period | A box-whisker of historical annualized returns for each holding period (1, 2, 3, 4 years): median, interquartile range and extremes. Visualizes how lengthening the hold tightens the spread and lifts the floor - the statistical case for patience. | free |
pi-cagr-color-coded-price | Price Colored by Forward Return | The asset's price line, each point colored by the annualized return it would have delivered over the chosen forward window (1 to 4 years). Reads cycle tops and bottoms as entry quality directly on the price chart - warm = great entry, cool = poor entry. | free |
pi-adaptive-ma | Adaptive Moving Average (KAMA) | Kaufman's Adaptive Moving Average - a moving average that speeds up in trends and slows down in choppy ranges, hugging price tightly when direction is clear and filtering noise when it isn't. | pro |
pi-heikin-ashi | Heikin-Ashi Candles | Heikin-Ashi ("average bar") candles - each candle is built from averaged open/high/low/close, smoothing noise to expose the underlying trend: long green bodies with no lower wicks signal strong uptrends, long red bodies with no upper wicks strong downtrends. | free |
pi-pivot-points | Pivot Points | Classic floor-trader pivot levels computed from the prior month's high/low/close and projected as the month's support/resistance map: pivot P plus R1/R2 above and S1/S2 below. Set before price trades, the projectable level grid day-traders watch daily. | free |
volatility
| Identifier | Name | Short description | Tier |
|---|---|---|---|
pi-bollinger-bands | Bollinger Bands (20/2) | 20-period SMA middle band with ±2 standard-deviation envelopes - width expands with volatility and contracts (squeeze) before breakouts. | free |
pi-realized-volatility | Realized Volatility | Annualized standard deviation of log returns across three windows (30D, 90D, 365D) - quantifies how violent price moves have been, not their direction. | free |
pi-drawdown-from-ath | Drawdown from ATH | Percentage decline from the running all-time high - a negative area that maps the depth of every correction and bear market through the cycle. | free |
pi-atr-weekly | ATR | Average True Range over 14 periods plus its normalized form (NATR %) - measures the average size of price bars, the building block of volatility-based stops. | pro |
pi-volatility-cones | Volatility Cones | Annualized realized volatility across five windows (30/60/90/180/365D) - the term structure of volatility revealing whether short-term risk is rich or cheap vs longer horizons. | pro |
pi-adaptive-bollinger | Adaptive Bollinger | 20-period middle band with envelopes whose width is driven by realized volatility rather than rolling price standard deviation - bands that react to true return dispersion. | pro |
pi-sharpe-sortino | Sharpe & Sortino Ratios | Rolling 1-year Sharpe and Sortino ratios - the institutional standard of risk-adjusted return, annualized. Historically, sustained readings above the euphoria zone have clustered near cycle peaks and deep dips below the capitulation zone near major lows - shaded bands calibrated on real historical percentiles turn it into a cycle-regime read. | pro |
pi-hurst-exponent | Hurst Exponent | Rolling 1-year Hurst exponent - distinguishes a trending regime (above 0.5, moves persist) from a mean-reverting regime (below 0.5, moves reverse). The 0.5 line marks a memoryless random walk. | performance |
pi-projection-cone | Price Projection Cone | Projects a forward probability cone (median plus ±1σ / ±2σ bands) 180 days from the last price, using a random-walk model calibrated on realized volatility. The cone widens with the square root of time. A transparent range-of-risk view, not a forecast. | performance |
volume
| Identifier | Name | Short description | Tier |
|---|---|---|---|
pi-obv | On-Balance Volume | Cumulative volume added on up days and subtracted on down days (Granville, 1963), tracks buying vs selling pressure. Divergences vs price reveal the conviction behind a move. | free |
pi-mfi | Money Flow Index | A volume-weighted RSI (Quong & Soudack, 1989) bounded 0-100, uses typical price × volume as money flow. Above 80 = overbought, below 20 = oversold; divergences flag exhaustion. | pro |
pi-cmf | Chaikin Money Flow | Sums Money Flow Volume (where the close sits within each bar's range × volume) over 20 periods, normalised by total volume (Marc Chaikin). Above 0 = accumulation, below 0 = distribution. | pro |
pi-vwap-rolling | Rolling VWAP + Bands | A moving 30-day volume-weighted average price, the institutional fair-value benchmark, with ±1σ / ±2σ bands. Price below VWAP = below average cost, above = premium; bands frame mean-reversion targets. | free |
pi-volume-profile | Volume Profile (VRVP) | The price candles with a horizontal volume-at-price histogram painted on the right over the visible range (TradingView VRVP), sharing the same price axis. The Point of Control (highest-volume price, gold) and Value Area (~70% of volume, violet) mark the acceptance zones price keeps revisiting. | pro |
Institutional disclaimer
Trinity Insights is an educational and analytical tool. The metrics listed do not constitute investment advice. Trinity Insights is not a Crypto-Asset Service Provider (CASP) registered under MiCA Regulation (EU) 2023/1114. See the full disclaimer.