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Kimono Trousers: Full Analytics | S&box Skins
Back to Kimono TrousersEvery indicator the Insight Engine computes for this item: 267 values across 8 families, each ranked against the whole S&box market and its type cohort. Informational only, not financial advice. Data completeness: 83% .
Overall rating ? Fixed supply Insight Engine v2 Recomputed each sync: last updated Aug 4, 12:02 PM.
Signal narrative Bullish Elevated supply
2,764 total supply: already fairly common, limiting the scarcity premium.
Concentrated ownership
~15.3 units per owner; a few holders control much of the supply.
Delisted from store !!
No longer purchasable from the S&box store. Supply is fixed, so there is potential long-term value.
Oversold (RSI) !!
RSI 17: beaten down and due for a potential bounce.
Deep drawdown
Down 68% from its 90-day peak: a possible recovery play if demand returns.
Below modelled fair value !!
Trading 52% under our supply/rarity model's estimate; looks cheap versus comparable skins.
Fixed supply
Supply is fixed; every new owner must buy on the market.
Signal Analysis Insight Engine The standout number is valuation: Kimono Trousers is trading 59.3% below the model's fair value, which drives a value score of 88/100 while the overall grade sits at B (58/100). That discount follows a 14.4% seven-day slide, leaving the item in the 5th percentile of its 90-day range and firing oversold, deep-drawdown and below-fair-value signals. Supply is now fixed at 2,764 units after the store delisting, though 181 unique owners flags concentrated ownership. The constraint is exit liquidity: a 14/100 liquidity score, 19 active listings and a 27.8% spread between the $1.33 best bid and the $1.63 ask. Patience on fills looks more realistic than quick turnover here.
AI-generated from live market data Β· updated 3d ago Β· Not financial advice β automated analysis for informational purposes only.
Price action 106/113 populated Indicator Value vs market vs cohort Return (24h) -1.2% β β Return (3d) -1.7% β β Return (7d) +4.3% Return (14d)
Percentiles are computed against the latest cross-sectional market snapshot. βn/sβ marks indicators not scoring in this item's lifecycle stage. All figures are informational only, not financial advice.
Market-wide fear
The broader S&box market is in fear territory right now: sellers have the upper hand across the board.
Signals are informational only: not financial advice.
Log return (24h) -1.2% β β
Log return (3d) -1.7% β β
Log return (7d) +4.2% β β
Log return (14d) -15.2% β β
Log return (30d) -25.8% β β
Log return (60d) -113.4% β β
Log return (90d) β β β
Log return (all) -113.4% β β
Mean price (24h) $1.70 β β
Mean price (3d) $1.72 β β
Mean price (7d) $1.70 β β
Mean price (14d) $1.76 β β
Mean price (30d) $1.98 β β
Mean price (60d) $2.13 β β
Mean price (90d) $2.13 β β
Mean price (all) $2.13 β β
Median price (24h) $1.70 β β
Median price (3d) $1.72 β β
Median price (7d) $1.72 β β
Median price (14d) $1.75 β β
Median price (30d) $2.01 β β
Median price (60d) $2.07 β β
Median price (90d) $2.07 β β
Median price (all) $2.07 β β
Range % (14d) +21.5% β β
Range % (30d) +43.6% β β
Range % (60d) +224.2% β β
Range % (90d) +224.2% β β
Range % (all) +224.2% β β
Position in range (24h) β β β
Position in range (3d) β β β
Position in range (7d) β β β
Position in range (14d) 20 β β
Position in range (30d) 10 β β
Position in range (60d) 2 β β
Position in range (all) 2 β β
Distance from high (24h) +0.0% β β
Distance from high (3d) -1.7% β β
Distance from high (7d) -3.4% β β
Distance from high (14d) -14.1% β β
Distance from high (30d) -27.4% β β
Distance from high (60d) -67.8% β β
Distance from high (90d) -67.8%
Distance from high (all) -67.8% β β
Distance from low (24h) +0.0% β β
Distance from low (3d) +0.0% β β
Distance from low (7d) +4.3% β β
Distance from low (14d) +4.3% β β
Distance from low (30d) +4.3% β β
Distance from low (60d) +4.3% β β
Distance from low (90d) +4.3% β β
Distance from low (all) +4.3% β β
Price vs mean (24h) +0.0% β β
Price vs mean (3d) -1.0% β β
Price vs mean (7d) +0.0% β β
Price vs mean (14d) -3.2% β β
Price vs mean (30d) -14.3% β β
Price vs mean (60d) -20.3% β β
Price vs mean (90d) -20.3% β β
Price vs mean (all) -20.3% β β
Up-day ratio (24h) β β β
Up-day ratio (7d) 25 β β
Up-day ratio (14d) 10 β β
Up-day ratio (30d) 16 β β
Up-day ratio (60d) 16 β β
Up-day ratio (90d) 16 β β
Up-day ratio (all) 16 β β
Trend 26/38 populated Indicator Value vs market vs cohort SMA (7) $1.70 β β Price vs SMA (7) +0.0% β β SMA (14) $1.76 β β Price vs SMA (14) -3.2% β β SMA (21) $1.86 β β Price vs SMA (21) -8.6% β β SMA (30) $1.98 β β Price vs SMA (30) -14.3% SMA (50) β β β Price vs SMA (50) β β β SMA (90) β β β Price vs SMA (90) β β β SMA (100) β β β Price vs SMA (100) β β β EMA (7) $1.70 β β Price vs EMA (7) +0.0% β β EMA (14) $1.76 β β Price vs EMA (14) -3.2% β β EMA (30) $1.98 β β Price vs EMA (30) -14.3% β β RSI (7) β β β RSI (14) β β β RSI (21) β β β RSI (30) β β β RSI (50) β β β RSI (100) β β β Trend slope (14d) -0.8% β β Trend slope (30d) -1.3% Trend slope (60d) -1.3% β β Trend slope (90d) -1.3% β β Trend slope (all) -1.3% β β Trend fit RΒ² (14d) 0.47Γ β β Trend fit RΒ² (30d) 0.89Γ β β Trend fit RΒ² (60d) 0.36Γ β β Trend fit RΒ² (90d) 0.36Γ β β Trend fit RΒ² (all) 0.36Γ β β SMA 7/30 cross -14.3% Days since trend flip 2.0d β β
Volatility & risk 33/33 populated Indicator Value vs market vs cohort Return stdev (7d) +3.5% β β Return stdev (14d) +3.5% β β Return stdev (30d) +3.0% Return stdev (60d) +9.3% β β Return stdev (90d) +9.3% β β Return stdev (all) +9.3% β β Downside deviation (30d) +2.3% β β Downside deviation (60d) +8.6% β β Downside deviation (90d) +8.6% β β Max drawdown (30d) +30.3% β β Max drawdown (60d) +69.2% β β Max drawdown (90d) +69.2% Max drawdown (all) +69.2% β β Current drawdown (90d) +67.8% Current drawdown (all) +67.8% β β Drawdown duration (90d) 42d β β Drawdown duration (all) 42d β β Sortino ratio (30d) -0.36Γ Sortino ratio (90d) -0.27Γ β β Return skew (30d) 0.51 β β Return skew (90d) -2.89 β β Excess kurtosis (30d) 3.22 β β Excess kurtosis (90d) 11.94 β β Largest up day (7d) +8.0% β β Largest up day (14d) +8.0% β β Largest up day (30d) +8.0% β β Largest up day (60d) +13.6% β β Largest up day (90d) +13.6% β β Largest down day (7d) +1.7% β β Largest down day (14d) +6.3% β β Largest down day (30d) +7.7% β β Largest down day (60d) +37.6% β β Largest down day (90d) +37.6% β β
Liquidity 4/20 populated Indicator Value vs market vs cohort Turnover % β β β On-market % β β β Days to clear listings β β β Lifetime sales / day needs provenance-safe secondary-market lifetime sales β β Liquidity score β β β Listings on book β β β Amihud illiquidity (30d) needs provenance-safe Steam sales history β β Amihud illiquidity (60d) needs provenance-safe Steam sales history β β Amihud illiquidity (90d) needs provenance-safe Steam sales history β β Zero-sale-day share (30d) needs provenance-safe Steam sales history β β Zero-sale-day share (60d) needs provenance-safe Steam sales history β β Zero-sale-day share (90d) needs provenance-safe Steam sales history β β Listings trend (7d) needs provenance-safe Steam listings history β β Listings trend (14d) needs provenance-safe Steam listings history β β Listings trend (30d) needs provenance-safe Steam listings history β β Listings trend (60d) needs provenance-safe Steam listings history β β Bid-ask spread % +17.9% β β Near-mid bid imbalance 0.33Γ β β Bid-depth trend (7d) +0.0% β β Bid-floor migration (7d) +1.6% β β
Supply & ownership 20/21 populated Indicator Value vs market vs cohort Supply growth (7d) +0.0% β β Supply growth (14d) +0.0% β β Supply growth (30d) +0.0% Supply growth (60d) +750.5% β β Supply growth (90d) +750.5% β β Owner growth (7d) +0.6% β β Owner growth (14d) +1.1% β β Owner growth (30d) +2.3% Owner growth (60d) +483.9% β β Owner growth (90d) +483.9% β β Mint rate (7d) 0 β β Mint rate (30d) 0 β β Supply doubling time β β β Copies per owner 15.27Γ Top-1 holder share +10.9% Top-10 holder share +29.3% HHI (top-10) 167.6 β β Whale count (β₯5) 10 β β Absorption (30d) +2.3% Absorption (60d) -266.6% β β Absorption (90d) -266.6% β β
Lifecycle & value 16/18 populated Indicator Value vs market vs cohort Age 49d β β Days since fixation β β β Days until leaving store n/s β β β Release-price multiple 1.72Γ Store-price ratio 1.70Γ β β Fair-value residual -51.6% Price per scarcity point 0.04Γ β β Instant-sell discount +16.5% β β Bid-floor backing $1.31 β β Accumulation score 50 β β Market-relative 7d return +8.5% Momentum pillar 54 Scarcity pillar 42 β β Liquidity pillar 21 β β Value pillar 85 β β Risk pillar 55 β β Overall rating 59 Data completeness +83.4% β β
Relative to market 8/9 populated Indicator Value vs market vs cohort Beta vs market (14d) 0.02Γ β β Beta vs market (30d) -0.05Γ Beta vs market (90d) 0.06Γ β β Market correlation (14d) 0.06Γ β β Market correlation (30d) -0.15Γ β β Market correlation (90d) 0.07Γ β β Return vs market (14d) -23.3% β β Return vs market (30d) -4.6% Return vs market (90d) β β β
Events 9/15 populated Indicator Value vs market vs cohort Spike days (30d) 0 Spike days (60d) 0 β β Spike days (90d) 0 β β Dump days (30d) 0 Dump days (60d) 2 β β Dump days (90d) 2 β β Post-spike reversion (30d) β β β Post-spike reversion (60d) β β β Post-spike reversion (90d) β β β Listing shocks (30d) needs provenance-safe Steam listings history β β Listing shocks (60d) needs provenance-safe Steam listings history β β Listing shocks (90d) needs provenance-safe Steam listings history β β Net spike bias (30d) 0 β β Net spike bias (60d) -2 β β Net spike bias (90d) -2 β β