Regime Intelligence · Not Price Prediction

Allocate capital
with precision.

ChainPulse models regime persistence, hazard rates, and survival probability so swing traders know exactly how much capital to deploy — and when to stand down.

chainpulse.pro/app
Live
BTC$71,840+1.34%
ETH$2,207+1.07%
SOL$82.46+1.08%
BNB$601.30+1.67%
AVAX$9.19+2.34%
LINK$8.81+1.03%
Current Regime
Strong Risk-Off
0.0h active · 100% aligned
Exposure
5%
Shift Risk
71.6%
Hazard
68%
Survival
34%
Directive
DEFENSIVE
Score: 18/100
Macro (1D)Strong Risk-Off
Trend (4H)Strong Risk-Off
Execution (1H)Risk-Off
Survival
34%
Shift Risk
71.6%
Hazard
68%
Coherence
83%
Percentile
91st
Exec Score
−21.7
Framework

From data to directive

Four analytical layers. One systematic output.

01
Regime Classification

Multi-timeframe momentum and volatility scoring classifies market state across macro, trend, and execution layers.

02
Coherence Measurement

Alignment across timeframes distinguishes high-conviction regimes from transitional noise.

03
Survival Modeling

Historical regime durations generate conditional persistence probabilities.

04
Exposure Output

A single allocation recommendation calibrated to strength, persistence, hazard rate, and alignment.

Live

Current BTC regime state

Connecting to regime model...
Who it's for

Built for traders managing real capital

Swing traders

Holding positions 2–30 days. Need to know when to press size and when to stand down.

Active allocators

Managing $25k–$500k+ across multiple assets. Want a systematic exposure framework.

Risk-conscious operators

Traders who have experienced late-stage overexposure and want a statistical system.

Core signals

Everything the model measures

Exposure allocation
How much capital belongs in this regime state
Hazard rate
Instantaneous regime failure risk vs historical baseline
Survival probability
Conditional persistence given current regime age
Regime alignment
Coherence across macro, trend, and execution timeframes
Shift risk
Composite deterioration signal across all leading indicators
Regime maturity
Early / Mid / Late / Overextended lifecycle position
Kelly-optimal sizing
Mathematically optimal position size for your edge
Monte Carlo risk
Forward distribution of outcomes across 10,000 simulated paths
Structural instability
Internal damage signals that precede visible breakdown
Behavioral discipline
Systematic tracking of deviation from model recommendations
Alpha drag
Estimated return cost of behavioral leaks vs model adherence
Transition probability
Statistical likelihood of movement to each adjacent regime

One avoided drawdown pays for years of Essential

For traders managing $5,000+, a single avoided 3% over-exposure event saves $150 — more than four months of Essential at $29/month billed annually.

Free
$0/mo
Regime Awareness
You know what's happening.
Essential
$29/mo
Exposure Control
You know what to do.
Popular
Pro
$59/mo
Strategic Edge
You know before others.
Institutional
$119/mo
Infrastructure Layer
You run the system.
Annual billing · 7-day free trial · Cancel anytime
View all plans

Daily regime brief

Current regime state, shift risk, and directive — every morning. Free.

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