ATOM ATOM / PYTH Crypto vs A A / PYTH Crypto vs BIGTIME BIGTIME / PYTH Crypto

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Detailed statistical analysis including performance metrics, risk indicators, technical analysis, and advanced ratios.

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Asset ATOM / PYTHA / PYTHBIGTIME / PYTH
📈 Performance Metrics
Start Price 20.804.600.39
End Price 33.432.690.34
Price Change % +60.70%-41.58%-12.37%
Period High 43.664.670.59
Period Low 16.832.210.25
Price Range % 159.4%111.2%138.6%
🏆 All-Time Records
All-Time High 43.664.670.59
Days Since ATH 150 days121 days184 days
Distance From ATH % -23.4%-42.5%-41.7%
All-Time Low 16.832.210.25
Distance From ATL % +98.6%+21.4%+39.0%
New ATHs Hit 27 times1 times10 times
📌 Easy-to-Understand Stats
Avg Daily Change % 2.63%2.86%2.82%
Biggest Jump (1 Day) % +3.90+0.31+0.07
Biggest Drop (1 Day) % -18.14-2.10-0.22
Days Above Avg % 48.8%29.3%42.7%
Extreme Moves days 9 (2.6%)4 (3.3%)16 (4.7%)
Stability Score % 85.8%0.0%0.0%
Trend Strength % 56.3%50.8%47.8%
Recent Momentum (10-day) % +1.82%+0.80%+6.06%
📊 Statistical Measures
Average Price 29.863.180.40
Median Price 29.682.800.37
Price Std Deviation 6.900.730.09
🚀 Returns & Growth
CAGR % +65.66%-79.97%-13.11%
Annualized Return % +65.66%-79.97%-13.11%
Total Return % +60.70%-41.58%-12.37%
⚠️ Risk & Volatility
Daily Volatility % 4.24%5.49%4.75%
Annualized Volatility % 80.96%104.85%90.72%
Max Drawdown % -52.57%-52.65%-58.09%
Sharpe Ratio 0.058-0.0440.019
Sortino Ratio 0.047-0.0350.017
Calmar Ratio 1.249-1.519-0.226
Ulcer Index 20.4235.6027.14
📅 Daily Performance
Win Rate % 56.3%48.8%52.0%
Positive Days 19359178
Negative Days 15062164
Best Day % +12.66%+13.21%+19.06%
Worst Day % -46.62%-48.63%-47.61%
Avg Gain (Up Days) % +2.56%+2.58%+2.81%
Avg Loss (Down Days) % -2.74%-2.93%-2.86%
Profit Factor 1.200.841.07
🔥 Streaks & Patterns
Longest Win Streak days 955
Longest Loss Streak days 958
💹 Trading Metrics
Omega Ratio 1.2030.8391.066
Expectancy % +0.24%-0.24%+0.09%
Kelly Criterion % 3.47%0.00%1.12%
📅 Weekly Performance
Best Week % +22.69%+3.77%+43.89%
Worst Week % -39.03%-39.22%-37.46%
Weekly Win Rate % 51.9%31.6%40.4%
📆 Monthly Performance
Best Month % +42.15%+7.01%+63.52%
Worst Month % -34.80%-41.12%-43.76%
Monthly Win Rate % 46.2%16.7%53.8%
🔧 Technical Indicators
RSI (14-period) 61.5052.4559.82
Price vs 50-Day MA % +8.85%+0.27%+10.06%
Price vs 200-Day MA % -0.53%N/A-18.62%

Performance Metrics: Shows the price at the start and end of the period, total change, and the highest/lowest prices reached during this time frame. | All-Time Records: All-time records show the highest and lowest prices ever reached during this period, how far the current price is from those extremes, and how long ago they occurred. | Easy-to-Understand Stats: Easy-to-understand metrics including typical daily price movements, biggest single-day gains/losses, how often price stayed above average, stability measures, and short-term momentum trends. | Returns & Growth: CAGR (Compound Annual Growth Rate) shows the annualized return rate if this growth continued consistently, while annualized and total returns show performance scaled to different time periods. | Risk & Volatility: Risk metrics show price volatility (daily and annualized), maximum drawdown (worst peak-to-trough decline), and various ratios (Sharpe, Sortino, Calmar, Treynor, Information) that measure risk-adjusted returns. | Daily Performance: Daily performance shows positive vs negative days, win rate, best and worst single days, average gains/losses on up/down days, gain/loss ratio, and profit factor (total gains divided by total losses). | Trading Metrics: Trading metrics include Omega ratio (probability-weighted gains vs losses), payoff ratio (avg win/avg loss), expectancy (expected return per trade), Kelly Criterion (optimal position sizing %), and price efficiency (trending vs choppy).

📊 Asset Correlations

Correlation coefficient ranges from -1 (perfectly inverse) to +1 (perfectly correlated).

ATOM (ATOM) vs A (A): 0.824 (Strong positive)
ATOM (ATOM) vs BIGTIME (BIGTIME): 0.667 (Moderate positive)
A (A) vs BIGTIME (BIGTIME): 0.977 (Strong positive)

Correlation shows how closely asset prices move together: +1.0 means perfect positive correlation (move in sync), 0 means no relationship, -1.0 means perfect negative correlation (move opposite). Lower correlation can help with portfolio diversification.

Data sources

ATOM: Kraken
A: Kraken
BIGTIME: Kraken