Markets
Last updated
Last updated
The Market page contains some information related to xWIN.Finance.
xWIN Token INFO
This is the information related to xWIN Token.
-Price is the current price. -Rewards Supply is the total number of xWIN Tokens remaining to be released to users and the market. -Circulation Supply is the total number of xWIN Tokens currently on the market. -Total Market Cap is the current price x Circulation Suply. -Total Valued Locked(V1) is the total number of xWIN Tokens locked in xWIN.Finance ver1. -Total Valued Locked(V2) is the total number of xWIN Tokens locked in xWIN.Finance ver2.
xWIN Daily Price
This chart shows the xWIN Token price over a 24-hour period, a week, a month, and a year. By pressing "ADD $XWIN" you can automatically display the xWIN Token in your wallet. Trading Signals
Trading Signals are signals when the xWIN Strategy is triggered. Trading signals are indicators or triggers that suggest potential trading opportunities in the financial markets. These signals are generated through various technical analysis tools, fundamental analysis, or algorithmic models. Traders and investors use trading signals to help inform their buy or sell decisions. xWIN Strategy has many products including IRT and BBMA. Each product is automatically sold or bought based on an algorithm. You can check information such as when, how much, and from which token to which token you bought or sold.
Market Trends Historical data and algorithms are used to forecast BTC trends for the current month. Market data can include various types of information such as crypto prices, trading volumes, market indices, bid and ask prices, historical price data, company financials, and other relevant market information.
Market data is crucial for investors, traders, and financial professionals as it helps them analyze market trends, make informed investment decisions, and monitor the performance of securities and financial instruments.
Market data is typically obtained from various sources, including crypto exchanges, financial news platforms, data providers, and brokerage firms. It can be accessed in real-time or delayed depending on the specific data provider or platform being used.
It's important to note that market data is constantly changing, reflecting the dynamic nature of financial markets. Therefore, staying up-to-date with the latest market data is essential for anyone involved in financial market activities.
Asset Sharpe Ratio
Asset Sharpe Ratio shows the Aseet Sharpe Ratio of Native Token and Strategy Token. 3 months and 6 months can be selected.
The Asset Sharpe Ratio is generally a measure used to evaluate the risk-adjusted return of an investment or portfolio. It was developed by William F. Sharpe, a Nobel laureate in economics, and it is named after him. The Sharpe Ratio helps investors assess how much return they are receiving in relation to the amount of risk they are taking.
The formula for calculating the Sharpe Ratio is as follows:
Sharpe Ratio = (Rp - Rf) / σp
Where:
Rp is the expected return of the asset or portfolio, Rf is the risk-free rate of return (such as the yield on government bonds), σp is the standard deviation of the asset or portfolio's returns. The numerator of the formula, (Rp - Rf), represents the excess return of the investment above the risk-free rate. The denominator, σp, measures the volatility or risk of the investment.
A higher Sharpe Ratio indicates a better risk-adjusted return, as it means the investment is generating more return per unit of risk. Conversely, a lower Sharpe Ratio suggests that the investment is not generating sufficient return for the level of risk taken.
It's worth noting that the Sharpe Ratio is most useful when comparing investments or portfolios with similar risk characteristics or when evaluating a single investment over time. It should not be used in isolation but rather in conjunction with other measures and considerations when making investment decisions.
Strategy TVL
Strategy TVL indicates Total Value Locked for each xWIN Strategy. It can be used as an indicator of how well each strategy is being utilized. TVL stands for Total Value Locked. It is a metric commonly used in the decentralized finance (DeFi) space to measure the total value of assets locked in a particular protocol or platform.
In DeFi, users can lock their cryptocurrencies or digital assets into smart contracts to participate in various financial activities such as lending, borrowing, liquidity provision, yield farming, and staking. TVL represents the aggregate value of these locked assets across all users on the platform.
The TVL metric provides insights into the overall activity and size of a DeFi protocol or platform. It is often used as an indicator of the popularity, adoption, and potential risks associated with a specific protocol.
TVL can fluctuate over time due to factors such as changes in asset prices, user behavior, and the introduction of new protocols. Tracking TVL can help investors and participants gauge the growth and health of the DeFi ecosystem and compare different platforms based on their locked value.