Every indicator the Insight Engine computes for this item: 258 values across 7 families, each ranked against the whole S&box market and its type cohort. Informational only, not financial advice. Data completeness: 91%.
Overall rating
?Fixed supply
Insight Engine v2
47/ 100
C
Momentum45
Scarcity18
Liquidity33
Value85
Risk52
Recomputed each sync: last updated Jul 9, 10:02 PM.
Signal narrative
Bullish
Negative momentum
Price down 3.5% in 24h: a mild downward trend.
Elevated supply
7,247 total supply: already fairly common, limiting the scarcity premium.
Low scarcity score
Scarcity score 18/100: abundant and liquid.
Holders are holding !!
Only 2.3% of supply listed: low sell pressure.
Illiquid
No sales in the last 24h; it may be hard to buy or sell at the quoted price.
Concentrated ownership
~10.5 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.
Signal Analysis
Insight Engine
OG Pants - Red presents a stark split between valuation and activity: the model reads it as 53.6 percent below fair value, and it has outperformed the market median over seven days by 19.2 percent, yet turnover sits at the 5th percentile with zero units traded in the last 24 hours and just 2 executed sales overall in that window. Supply is fixed at 7,247 units following its store delisting, held across only 689 owners, and the 19.6 percent bid/ask spread ($0.92 bid versus $1.12 ask) underscores that illiquidity. Price has slipped 5.9 percent over seven days and 3.5 percent over 24 hours. With ownership concentrated, growth at the 8th percentile, and liquidity this thin, the cheapness relative to model value is real but may be difficult to act on efficiently.
AI-generated from live market data Β· updated 6h ago Β· Not financial advice β automated analysis for informational purposes only.
Price action
108/113 populated
Indicator
Value
vs market
vs cohort
Return (24h)
-3.5%
β
β
Return (3d)
-3.4%
β
β
Return (7d)
-3.4%
56
58
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.
High volatility
Daily price swings are large; expect a bumpy ride in either direction.
Deep drawdown
Down 82% from its 90-day peak: a possible recovery play if demand returns.
Outperforming the market !!
Up 19pts more than the median skin this week: real relative strength.
Below modelled fair value !!
Trading 54% 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.
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.
-30.4%
β
β
Return (30d)
-35.6%
60
65
Return (60d)
-52.1%
β
β
Return (90d)
-81.9%
56
57
Return (all)
-74.5%
β
β
Log return (24h)
-3.5%
β
β
Log return (3d)
-3.5%
β
β
Log return (7d)
-3.5%
β
β
Log return (14d)
-36.3%
β
β
Log return (30d)
-44.1%
β
β
Log return (60d)
-73.7%
β
β
Log return (90d)
-170.9%
β
β
Log return (all)
-136.7%
β
β
High (24h)
$1.12
β
β
High (3d)
$1.16
β
β
High (7d)
$1.29
β
β
High (14d)
$1.61
β
β
High (30d)
$1.97
β
β
High (60d)
$2.87
β
β
High (90d)
$6.19
β
β
High (all)
$6.47
β
β
Low (24h)
$1.12
β
β
Low (3d)
$1.12
β
β
Low (7d)
$1.12
β
β
Low (14d)
$1.03
β
β
Low (30d)
$1.03
β
β
Low (60d)
$1.03
β
β
Low (90d)
$1.03
β
β
Low (all)
$1.03
β
β
Mean price (24h)
$1.12
β
β
Mean price (3d)
$1.14
β
β
Mean price (7d)
$1.20
β
β
Mean price (14d)
$1.23
β
β
Mean price (30d)
$1.55
β
β
Mean price (60d)
$1.99
β
β
Mean price (90d)
$2.75
β
β
Mean price (all)
$2.84
β
β
Median price (24h)
$1.12
β
β
Median price (3d)
$1.15
β
β
Median price (7d)
$1.16
β
β
Median price (14d)
$1.16
β
β
Median price (30d)
$1.68
β
β
Median price (60d)
$1.98
β
β
Median price (90d)
$2.47
β
β
Median price (all)
$2.48
β
β
Range % (24h)
β
β
β
Range % (3d)
+3.6%
β
β
Range % (7d)
+15.2%
β
β
Range % (14d)
+56.3%
β
β
Range % (30d)
+91.3%
β
β
Range % (60d)
+178.6%
β
β
Range % (90d)
+500.5%
β
β
Range % (all)
+527.7%
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)
16
β
β
Position in range (30d)
10
β
β
Position in range (60d)
5
β
β
Position in range (90d)
2
57
61
Position in range (all)
2
β
β
Distance from high (24h)
+0.0%
β
β
Distance from high (3d)
-3.4%
β
β
Distance from high (7d)
-13.2%
β
β
Distance from high (14d)
-30.4%
β
β
Distance from high (30d)
-43.1%
β
β
Distance from high (60d)
-61.0%
β
β
Distance from high (90d)
-81.9%
58
60
Distance from high (all)
-82.7%
β
β
Distance from low (24h)
+0.0%
β
β
Distance from low (3d)
+0.0%
β
β
Distance from low (7d)
+0.0%
β
β
Distance from low (14d)
+8.7%
β
β
Distance from low (30d)
+8.7%
β
β
Distance from low (60d)
+8.7%
β
β
Distance from low (90d)
+8.7%
β
β
Distance from low (all)
+8.7%
β
β
Price vs mean (24h)
+0.0%
β
β
Price vs mean (3d)
-2.0%
β
β
Price vs mean (7d)
-6.4%
β
β
Price vs mean (14d)
-9.3%
β
β
Price vs mean (30d)
-27.8%
β
β
Price vs mean (60d)
-43.8%
β
β
Price vs mean (90d)
-59.2%
β
β
Price vs mean (all)
-60.6%
β
β
Up days (24h)
0
β
β
Up days (3d)
0
β
β
Up days (7d)
1
β
β
Up days (14d)
2
β
β
Up days (30d)
6
β
β
Up days (60d)
19
β
β
Up days (90d)
26
β
β
Up days (all)
29
β
β
Down days (24h)
0
β
β
Down days (3d)
2
β
β
Down days (7d)
5
β
β
Down days (14d)
9
β
β
Down days (30d)
15
β
β
Down days (60d)
29
β
β
Down days (90d)
52
β
β
Down days (all)
53
β
β
Up-day ratio (24h)
β
β
β
Up-day ratio (3d)
0
β
β
Up-day ratio (7d)
17
β
β
Up-day ratio (14d)
18
β
β
Up-day ratio (30d)
29
β
β
Up-day ratio (60d)
40
β
β
Up-day ratio (90d)
33
β
β
Up-day ratio (all)
35
β
β
Up-day streak
0.0d
β
β
Trend
30/38 populated
Indicator
Value
vs market
vs cohort
SMA (7)
$1.20
β
β
Price vs SMA (7)
-6.4%
β
β
SMA (14)
$1.23
β
β
Price vs SMA (14)
-9.3%
β
β
SMA (21)
$1.41
β
β
Price vs SMA (21)
-20.4%
β
β
SMA (30)
$1.55
β
β
Price vs SMA (30)
-27.8%
37
39
SMA (50)
$1.87
β
β
Price vs SMA (50)
-40.2%
β
β
SMA (90)
$2.75
β
β
Price vs SMA (90)
-59.2%
β
β
SMA (100)
β
β
β
Price vs SMA (100)
β
β
β
EMA (7)
$1.20
β
β
Price vs EMA (7)
-6.4%
β
β
EMA (14)
$1.23
β
β
Price vs EMA (14)
-9.3%
β
β
EMA (30)
$1.55
β
β
Price vs EMA (30)
-27.8%
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)
-1.8%
β
β
Trend slope (30d)
-2.2%
48
49
Trend slope (60d)
-1.4%
β
β
Trend slope (90d)
-1.7%
β
β
Trend slope (all)
-1.6%
β
β
Trend fit RΒ² (14d)
0.30Γ
β
β
Trend fit RΒ² (30d)
0.81Γ
β
β
Trend fit RΒ² (60d)
0.89Γ
β
β
Trend fit RΒ² (90d)
0.84Γ
β
β
Trend fit RΒ² (all)
0.84Γ
β
β
SMA 7/30 cross
-22.8%
41
44
Days since trend flip
0.0d
β
β
Volatility & risk
33/33 populated
Indicator
Value
vs market
vs cohort
Return stdev (7d)
+5.8%
β
β
Return stdev (14d)
+10.0%
β
β
Return stdev (30d)
+8.7%
27
24
Return stdev (60d)
+8.0%
β
β
Return stdev (90d)
+10.3%
β
β
Return stdev (all)
+10.7%
β
β
Downside deviation (30d)
+6.9%
β
β
Downside deviation (60d)
+6.3%
β
β
Downside deviation (90d)
+7.6%
β
β
Max drawdown (30d)
+47.7%
β
β
Max drawdown (60d)
+64.1%
β
β
Max drawdown (90d)
+83.3%
38
35
Max drawdown (all)
+84.1%
β
β
Current drawdown (90d)
+81.9%
41
39
Current drawdown (all)
+82.7%
β
β
Drawdown duration (90d)
89d
β
β
Drawdown duration (all)
90d
β
β
Sortino ratio (30d)
-0.17Γ
62
65
Sortino ratio (90d)
-0.18Γ
β
β
Return skew (30d)
-0.25
β
β
Return skew (90d)
0.31
β
β
Excess kurtosis (30d)
2.51
β
β
Excess kurtosis (90d)
3.99
β
β
Largest up day (7d)
+11.2%
β
β
Largest up day (14d)
+12.6%
β
β
Largest up day (30d)
+18.7%
β
β
Largest up day (60d)
+22.1%
β
β
Largest up day (90d)
+39.6%
β
β
Largest down day (7d)
+5.7%
β
β
Largest down day (14d)
+25.5%
β
β
Largest down day (30d)
+25.5%
β
β
Largest down day (60d)
+25.5%
β
β
Largest down day (90d)
+32.9%
β
β
Liquidity
13/20 populated
Indicator
Value
vs market
vs cohort
Turnover %
+0.0%
5
5
On-market %
+2.3%
59
52
Days to clear listings
β
β
β
Lifetime sales / day
45.04
β
β
Liquidity score
27
69
68
Listings on book
169
β
β
Amihud illiquidity (30d)
needs sales history (accruing from supply snapshots)
β
β
Amihud illiquidity (60d)
needs sales history (accruing from supply snapshots)
β
β
Amihud illiquidity (90d)
needs sales history (accruing from supply snapshots)
β
β
Zero-sale-day share (30d)
needs sales history (accruing from supply snapshots)
β
β
Zero-sale-day share (60d)
needs sales history (accruing from supply snapshots)
β
β
Zero-sale-day share (90d)
needs sales history (accruing from supply snapshots)