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The dedicated S&box cosmetics market tracker. Live prices, drops and supply for every sbox skin on the Steam Community Market.

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Back to Spa Slippers

Spa Slippersfull analytics

Every 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: 77%.

Overall rating

?Fixed supply
Insight Engine v2
52/ 100
C
Momentum65
Scarcity72
Liquidity9
Value60
Risk40

Recomputed each sync: last updated Sep 28, 11:02 PM.

Signal narrative

Slightly bullish
Holders are holding !!

Only 0.4% of supply listed: low sell pressure.

Concentrated ownership

~8.3 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.

Weekly downtrend !!

Average price down 51% over the past week versus the prior week.

High volatility

Daily price swings are large; expect a bumpy ride in either direction.

Deep drawdown

Down 78% from its 90-day peak: a possible recovery play if demand returns.

Lagging the market !!

54pts behind the median skin this week, underperforming its peers.

Fixed supply

Supply is fixed (delisted Aug 17, 2026); 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.

Signal Analysis

Insight Engine

Spa Slippers has given back 35.9% in seven days, a 5th percentile return that trails the market median by 56.0%, and the order book explains much of the damage: two active listings, a 34.4% bid/ask spread, and a $7.38 ask floating 41% above the best standing bid of $5.24. That phantom structure, plus a liquidity score of 7 and 30-day return volatility in the 95th percentile, makes the quoted price unreliable. The supportive facts are structural rather than immediate: supply is fixed at 532 units after delisting, 63 owners are holding, and in this single-regime market sharp drawdowns have tended to recover. At +11.0% over fair value, the discount is not yet in the price.

AI-generated from live market data Β· updated 1d ago Β· Not financial advice β€” automated analysis for informational purposes only.

Price action

106/113 populated
IndicatorValuevs marketvs cohort
Return (24h)-0.1%β€”β€”
Return (3d)-0.1%β€”β€”
Return (7d)-58.3%
5
5
Return (14d)-77.5%β€”β€”
Return (30d)+2.9%
75
76
Return (60d)+76.9%β€”β€”
Return (90d)β€”β€”β€”
Return (all)+76.9%β€”β€”
Log return (24h)-0.1%β€”β€”
Log return (3d)-0.1%β€”β€”
Log return (7d)-87.5%β€”β€”
Log return (14d)-149.2%β€”β€”
Log return (30d)+2.9%β€”β€”
Log return (60d)+57.0%β€”β€”
Log return (90d)β€”β€”β€”
Log return (all)+57.0%β€”β€”
High (24h)$7.42β€”β€”
High (3d)$7.43β€”β€”
High (7d)$17.80β€”β€”
High (14d)$33.00β€”β€”
High (30d)$33.00β€”β€”
High (60d)$33.00β€”β€”
High (90d)$33.00β€”β€”
High (all)$33.00β€”β€”
Low (24h)$7.42β€”β€”
Low (3d)$7.42β€”β€”
Low (7d)$7.38β€”β€”
Low (14d)$7.38β€”β€”
Low (30d)$7.21β€”β€”
Low (60d)$2.85β€”β€”
Low (90d)$2.85β€”β€”
Low (all)$2.85β€”β€”
Mean price (24h)$7.42β€”β€”
Mean price (3d)$7.43β€”β€”
Mean price (7d)$9.50β€”β€”
Mean price (14d)$15.59β€”β€”
Mean price (30d)$18.99β€”β€”
Mean price (60d)$14.48β€”β€”
Mean price (90d)$14.48β€”β€”
Mean price (all)$14.48β€”β€”
Median price (24h)$7.42β€”β€”
Median price (3d)$7.43β€”β€”
Median price (7d)$7.43β€”β€”
Median price (14d)$17.76β€”β€”
Median price (30d)$17.77β€”β€”
Median price (60d)$13.53β€”β€”
Median price (90d)$13.53β€”β€”
Median price (all)$13.53β€”β€”
Range % (24h)β€”β€”β€”
Range % (3d)+0.1%β€”β€”
Range % (7d)+141.2%β€”β€”
Range % (14d)+347.2%β€”β€”
Range % (30d)+357.7%β€”β€”
Range % (60d)+1057.9%β€”β€”
Range % (90d)+1057.9%β€”β€”
Range % (all)+1057.9%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)0β€”β€”
Position in range (30d)1β€”β€”
Position in range (60d)15β€”β€”
Position in range (90d)15
66
68
Position in range (all)15β€”β€”
Distance from high (24h)+0.0%β€”β€”
Distance from high (3d)-0.1%β€”β€”
Distance from high (7d)-58.3%β€”β€”
Distance from high (14d)-77.5%β€”β€”
Distance from high (30d)-77.5%β€”β€”
Distance from high (60d)-77.5%β€”β€”
Distance from high (90d)-77.5%
25
25
Distance from high (all)-77.5%β€”β€”
Distance from low (24h)+0.0%β€”β€”
Distance from low (3d)+0.0%β€”β€”
Distance from low (7d)+0.5%β€”β€”
Distance from low (14d)+0.5%β€”β€”
Distance from low (30d)+2.9%β€”β€”
Distance from low (60d)+160.4%β€”β€”
Distance from low (90d)+160.4%β€”β€”
Distance from low (all)+160.4%β€”β€”
Price vs mean (24h)+0.0%β€”β€”
Price vs mean (3d)-0.1%β€”β€”
Price vs mean (7d)-21.9%β€”β€”
Price vs mean (14d)-52.4%β€”β€”
Price vs mean (30d)-60.9%β€”β€”
Price vs mean (60d)-48.8%β€”β€”
Price vs mean (90d)-48.8%β€”β€”
Price vs mean (all)-48.8%β€”β€”
Up days (24h)0β€”β€”
Up days (3d)0β€”β€”
Up days (7d)1β€”β€”
Up days (14d)3β€”β€”
Up days (30d)9β€”β€”
Up days (60d)13β€”β€”
Up days (90d)13β€”β€”
Up days (all)13β€”β€”
Down days (24h)0β€”β€”
Down days (3d)1β€”β€”
Down days (7d)3β€”β€”
Down days (14d)7β€”β€”
Down days (30d)10β€”β€”
Down days (60d)16β€”β€”
Down days (90d)16β€”β€”
Down days (all)16β€”β€”
Up-day ratio (24h)β€”β€”β€”
Up-day ratio (3d)0β€”β€”
Up-day ratio (7d)25β€”β€”
Up-day ratio (14d)30β€”β€”
Up-day ratio (30d)47β€”β€”
Up-day ratio (60d)45β€”β€”
Up-day ratio (90d)45β€”β€”
Up-day ratio (all)45β€”β€”
Up-day streak0.0dβ€”β€”

Trend

11/38 populated
IndicatorValuevs marketvs cohort
SMA (7)β€”β€”β€”
Price vs SMA (7)β€”β€”β€”
SMA (14)β€”β€”β€”
Price vs SMA (14)β€”β€”β€”
SMA (21)β€”β€”β€”
Price vs SMA (21)β€”β€”β€”
SMA (30)β€”β€”β€”
Price vs SMA (30)β€”β€”β€”
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)β€”β€”β€”
Price vs EMA (7)β€”β€”β€”
EMA (14)β€”β€”β€”
Price vs EMA (14)β€”β€”β€”
EMA (30)β€”β€”β€”
Price vs EMA (30)β€”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)-11.2%β€”β€”
Trend slope (30d)-3.1%
17
15
Trend slope (60d)+2.3%β€”β€”
Trend slope (90d)+2.3%β€”β€”
Trend slope (all)+2.3%β€”β€”
Trend fit RΒ² (14d)0.72Γ—β€”β€”
Trend fit RΒ² (30d)0.22Γ—β€”β€”
Trend fit RΒ² (60d)0.12Γ—β€”β€”
Trend fit RΒ² (90d)0.12Γ—β€”β€”
Trend fit RΒ² (all)0.12Γ—β€”β€”
SMA 7/30 crossβ€”β€”β€”
Days since trend flip5.0dβ€”β€”

Volatility & risk

33/33 populated
IndicatorValuevs marketvs cohort
Return stdev (7d)+43.3%β€”β€”
Return stdev (14d)+30.6%β€”β€”
Return stdev (30d)+43.9%
95
95
Return stdev (60d)+40.3%β€”β€”
Return stdev (90d)+40.3%β€”β€”
Return stdev (all)+40.3%β€”β€”
Downside deviation (30d)+23.2%β€”β€”
Downside deviation (60d)+19.3%β€”β€”
Downside deviation (90d)+19.3%β€”β€”
Max drawdown (30d)+77.6%β€”β€”
Max drawdown (60d)+77.6%β€”β€”
Max drawdown (90d)+77.6%
65
68
Max drawdown (all)+77.6%β€”β€”
Current drawdown (90d)+77.5%
75
75
Current drawdown (all)+77.5%β€”β€”
Drawdown duration (90d)15dβ€”β€”
Drawdown duration (all)15dβ€”β€”
Sortino ratio (30d)0.54Γ—
91
93
Sortino ratio (90d)0.63Γ—β€”β€”
Return skew (30d)3.6β€”β€”
Return skew (90d)3.62β€”β€”
Excess kurtosis (30d)14.31β€”β€”
Excess kurtosis (90d)15.11β€”β€”
Largest up day (7d)+0.7%β€”β€”
Largest up day (14d)+0.7%β€”β€”
Largest up day (30d)+332.4%β€”β€”
Largest up day (60d)+332.4%β€”β€”
Largest up day (90d)+332.4%β€”β€”
Largest down day (7d)+58.0%β€”β€”
Largest down day (14d)+58.0%β€”β€”
Largest down day (30d)+58.0%β€”β€”
Largest down day (60d)+58.0%β€”β€”
Largest down day (90d)+58.0%β€”β€”

Liquidity

5/20 populated
IndicatorValuevs marketvs cohort
Turnover %β€”β€”β€”
On-market %+0.4%
5
5
Days to clear listingsβ€”β€”β€”
Lifetime sales / dayneeds provenance-safe secondary-market lifetime salesβ€”β€”
Liquidity score4
5
5
Listings on book2β€”β€”
Amihud illiquidity (30d)needs provenance-safe Steam sales historyβ€”β€”
Amihud illiquidity (60d)needs provenance-safe Steam sales historyβ€”β€”
Amihud illiquidity (90d)needs provenance-safe Steam sales historyβ€”β€”
Zero-sale-day share (30d)needs provenance-safe Steam sales historyβ€”β€”
Zero-sale-day share (60d)needs provenance-safe Steam sales historyβ€”β€”
Zero-sale-day share (90d)needs provenance-safe Steam sales historyβ€”β€”
Listings trend (7d)needs provenance-safe Steam listings historyβ€”β€”
Listings trend (14d)needs provenance-safe Steam listings historyβ€”β€”
Listings trend (30d)needs provenance-safe Steam listings historyβ€”β€”
Listings trend (60d)needs provenance-safe Steam listings historyβ€”β€”
Bid-ask spread %+31.5%β€”β€”
Near-mid bid imbalanceβ€”β€”β€”
Bid-depth trend (7d)β€”β€”β€”
Bid-floor migration (7d)+3.1%β€”β€”

Supply & ownership

14/21 populated
IndicatorValuevs marketvs cohort
Supply growth (7d)+0.0%β€”β€”
Supply growth (14d)+0.0%β€”β€”
Supply growth (30d)+0.0%
5
5
Supply growth (60d)β€”β€”β€”
Supply growth (90d)β€”β€”β€”
Owner growth (7d)+1.6%β€”β€”
Owner growth (14d)+1.6%β€”β€”
Owner growth (30d)-1.5%
6
6
Owner growth (60d)β€”β€”β€”
Owner growth (90d)β€”β€”β€”
Mint rate (7d)0β€”β€”
Mint rate (30d)0β€”β€”
Supply doubling timeβ€”β€”β€”
Copies per owner8.31Γ—
21
20
Top-1 holder share+13.7%
95
93
Top-10 holder share+31.4%
95
94
HHI (top-10)228.71β€”β€”
Whale count (β‰₯5)10β€”β€”
Absorption (30d)-1.5%
29
27
Absorption (60d)β€”β€”β€”
Absorption (90d)β€”β€”β€”

Lifecycle & value

17/18 populated
IndicatorValuevs marketvs cohort
Age50dβ€”β€”
Days since fixation42dβ€”β€”
Days until leaving storen/s-42dβ€”β€”
Release-price multipleβ€”β€”β€”
Store-price ratio2.97Γ—β€”β€”
Fair-value residual+12.8%
52
53
Price per scarcity point0.10Γ—β€”β€”
Instant-sell discount+27.2%β€”β€”
Bid-floor backing$5.40β€”β€”
Accumulation score49β€”β€”
Market-relative 7d return-53.6%
5
5
Momentum pillar65
87
87
Scarcity pillar72β€”β€”
Liquidity pillar9β€”β€”
Value pillar60β€”β€”
Risk pillar40β€”β€”
Overall rating53
76
77
Data completeness+77.0%β€”β€”

Relative to market

8/9 populated
IndicatorValuevs marketvs cohort
Beta vs market (14d)1.56Γ—β€”β€”
Beta vs market (30d)7.07Γ—
95
95
Beta vs market (90d)6.15Γ—β€”β€”
Market correlation (14d)0.26Γ—β€”β€”
Market correlation (30d)0.40Γ—β€”β€”
Market correlation (90d)0.37Γ—β€”β€”
Return vs market (14d)-69.6%β€”β€”
Return vs market (30d)+1.6%
77
78
Return vs market (90d)β€”β€”β€”

Events

12/15 populated
IndicatorValuevs marketvs cohort
Spike days (30d)2
75
75
Spike days (60d)4β€”β€”
Spike days (90d)4β€”β€”
Dump days (30d)4
95
95
Dump days (60d)6β€”β€”
Dump days (90d)6β€”β€”
Post-spike reversion (30d)-0.4%β€”β€”
Post-spike reversion (60d)+75.9%β€”β€”
Post-spike reversion (90d)+75.9%β€”β€”
Listing shocks (30d)needs provenance-safe Steam listings historyβ€”β€”
Listing shocks (60d)needs provenance-safe Steam listings historyβ€”β€”
Listing shocks (90d)needs provenance-safe Steam listings historyβ€”β€”
Net spike bias (30d)-2β€”β€”
Net spike bias (60d)-2β€”β€”
Net spike bias (90d)-2β€”β€”

Percentiles are computed against the latest cross-sectional market snapshot. β€œn/s” marks indicators not scoring in this item's lifecycle stage. All figures are informational only, not financial advice.