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.
From data to directive
Four analytical layers. One systematic output.
Multi-timeframe momentum and volatility scoring classifies market state across macro, trend, and execution layers.
Alignment across timeframes distinguishes high-conviction regimes from transitional noise.
Historical regime durations generate conditional persistence probabilities.
A single allocation recommendation calibrated to strength, persistence, hazard rate, and alignment.
Current BTC regime state
Built for traders managing real capital
Holding positions 2–30 days. Need to know when to press size and when to stand down.
Managing $25k–$500k+ across multiple assets. Want a systematic exposure framework.
Traders who have experienced late-stage overexposure and want a statistical system.
Everything the model measures
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.
Daily regime brief
Current regime state, shift risk, and directive — every morning. Free.