Live OHLCV charts
Real candles on every index, fed by Binance Spot for crypto and Dinari plus Backed Finance for tokenized equities. Zoom, pan, and rebalance markers across nine timeframes.
Lite shows three curated baskets. One click to buy, no chart overload, no leverage. The advanced surface stays one button away.
15 new indices spanning 80 tokenized equities and ETFs. Single stocks route through Dinari (US broker-dealer, TRACI-regulated), ETF coverage routes through Backed Finance. Settlement happens on Base via Uniswap v3 once KYC clears. Big tech, semis, healthcare, energy, China tech, broad ETFs, commodity ETFs and the crypto-equity crossover, all backed 1:1 by underlying shares in regulated custody.
Real candles on every index, fed by Binance Spot for crypto and Dinari plus Backed Finance for tokenized equities. Zoom, pan, and rebalance markers across nine timeframes.
EMA, RSI, MACD, Bollinger, ATR and seven more, layered on the trade view. Auto-detected support and resistance plus Fibonacci retracements ship with every chart.
Multi-year backtest on every index with Sharpe, Sortino, beta, max drawdown and ten more stats. Indices in the upper Sharpe band get a gold elevation badge.
Cross-asset baskets blending BTC, equities, and stables that have outperformed BTC over the multi-cycle window. Filter by tier on the catalogue to see the institutional grade.
Semiconductors, Healthcare, Defense, Broad ETFs and eleven other equity baskets routed through Dinari (single stocks) and Backed Finance (ETFs), settling on Base via Uniswap v3. Geo-gated where required, with a KYC chip on the venue badge.
Institutional papers covering index methodology, RWA risk, restaking, and rollup architecture. Read straight from the /research section, no login required.
One keystroke jumps you to any index, the research desk, the portfolio, or the trade view. Fuzzy match on symbol, family, and full name.
Social or wallet login via Web3Auth, with an Offline demo mode that drops you straight into a funded simulator. No seed phrase friction for first-time allocators.
Daily OHLC now spans up to fifteen years on the largest crypto majors via a cascading data feed. The institutional backtest window is no longer bounded by a single venue's listing date.
Sharpe ratios published with explicit anchor disclosure. The same number reads differently depending on the window start, so we publish four anchors and let the institutional reader pick the comparison they want.
Read the referenceJensen Alpha, R-squared, CAPM-implied return, Effective N concentration · the canonical buy-side decomposition on every basket page.
OCYC6 anchors a six-asset construction across the full multi-cycle backtest window. Internal benchmark, not a product.
Constituent lists refreshed where the post-2022 reality no longer supported the original thesis. Reflects the institutional principle that a basket should be reviewed when its empirical record diverges from its construction case.
Every index now carries a 95% historical Value-at-Risk over both a one-week and a one-month horizon, read side by side in the backtest panel and on the index overview. An allocator sees the week and the month loss tail before sizing a position.
A full holdings audit pairs with a rule that no constituent change reaches the catalogue until weights are re-optimised and NAV, analytics, and risk are recomputed against it. The published numbers always describe the basket as it actually stands.
The trade view aggregates the same trend and oscillator math the chart draws into one gauge · strong sell through strong buy. A plain description of where momentum and trend currently sit, computed from price history, never a recommendation.
A linear / log / return scale toggle, user-drawn trendlines that persist across the session, and a softened zoom response so the candle view stays legible while you read it. Layered on the existing indicator and rebalance-marker stack.
Phase 0 of the options work lands under Earn · a closed-form Black-Scholes premium and Greeks seeded with each basket's historical volatility, plus a payoff diagram. Indicative pricing for study only, no quote and no settlement in the public preview.
Read the referenceLite mode is rebuilt around a calm buy/sell card · one amount field, the units it converts to, quick-size chips, and a plain-language quality read with the 7-day loss tail. It runs the same simulated settlement as the Pro surface, with a quiet escape hatch into full detail.
Read the referenceTokenized-equity baskets route to a fast overview that no longer polls on a loop, removing the refresh churn that affected those pages. A redundant construction was retired in the same pass so the family reads cleanly.
Rolling windows, multi-anchor benchmarking, and risk-free rate alignment across every Sharpe surface. The first pass shipped; the iteration continues as more baskets accumulate post-cycle data.
Binance Spot, Binance Alpha, CryptoCompare, and Yahoo Finance now chain together so no single venue outage takes the catalogue dark. The redundant-vendor production stack continues to layer in fallbacks as edge cases surface.
Twenty-six baskets carry an under-study tag while their construction is reviewed against the post-2022 record. The studies feed weight adjustments, constituent swaps, and the occasional retirement.
Building on the illustrative pricer · crypto exposure paired with a systematic protective overlay so the downside is bounded by construction. Modelled and backtested against the same risk surface as the underlying basket before it ever surfaces as a product.
Extending the risk block beyond Value-at-Risk · scenario and stress reads, drawdown recovery profiles, and cross-basket correlation so an allocator can see how baskets move together, not just in isolation. Rolling out as each measure clears review.
A longer-form companion to the trade gauge · a written posture read that describes the current trend, momentum, and volatility regime for a basket in plain language. Strictly descriptive of the record, never directional advice.
Building toward multichain settlement · Stellar for real-world assets, the EVM ecosystem for tokenized equities and liquidity. In active conversation with leading rails, brokers and foundations.
The second structured track · earn option premium on a basket you already hold, framed and risk-described the same way the hedged track is. Design follows the hedged baskets so the two share one settlement and disclosure surface.
A reworked trade view that brings the technical read, the risk block, and the order flow into one coherent layout for both Lite and Pro. The current surface stays the reference while the v2 methodology settles.
Ongoing construction research feeds new baskets as their thesis clears the post-cycle record. We publish a basket when the evidence supports it rather than pre-announcing a line-up.
Tokenized equity routing via Dinari and Backed Finance settling on Base. The cash sleeve question becomes a thesis decision rather than an operational one.
Server-side order persistence, price watcher, and venue routing. Required for any production-grade trading surface beyond the public preview.
REST and websocket feeds for NAVs, holdings and tier metadata, plus signed-request order placement on simulated venues. Sandbox keys ship first, separate from the mainnet rate limits.
Where assets live, regulator coverage by jurisdiction, custodian diligence framework. The internal page exists; the public surface lands once the methodology stabilises.
A TEE-backed flow so eligibility checks run inside a sealed enclave and only the boolean result reaches the chain. Scoping notes live in the research grants folder.
Today the surfaces target tablet and desktop. A dedicated mobile pass for the catalogue, portfolio and trade flows lands once the desktop methodology stops moving.
CSV and PDF exports of positions, rebalance history and realised PnL for jurisdictions that require year-end reporting. Wired against the same activity log the wallet tab already renders.
Move from the public preview to real settlement, with on-chain rebalances and verifiable NAVs. Existing positions migrate one-to-one. The settlement roadmap centers on Stellar for real-world assets, with the EVM ecosystem (Base, Arbitrum) for liquidity.
The settlement roadmap centers on Stellar for real-world assets, with the EVM ecosystem for tokenized equities and liquidity · the right rail for each asset class. In active conversation with leading brokers, rails and foundations that back serious onchain finance. If you fund early-stage onchain infrastructure, reach out.
We'd rather ship narrow & polished than wide & half-built. If a pillar above resonates, mail us · we sequence by allocator interest.