31 metrics. 7 sources. Every pattern backtested.
Extreme fear + high volume. Historically the best entry window.
Buy when fear is extreme and volatility spikes
| metric | r | p-value | direction |
|---|---|---|---|
| Volatility 14d | +0.485 | 0.001 | ↑ bullish |
| Fear & Greed | -0.446 | 0.003 | ↓ bearish |
| Exchange Flow | +0.391 | 0.008 | ↑ bullish |
| Funding Rate | -0.312 | 0.012 | ↓ bearish |
| Open Interest | +0.198 | 0.041 | ↑ bullish |

A composite score from 0-100 distills 31 metrics into a single signal. The market regime tells you historically what happens next.
Extreme fear + high volume. Best buying opportunities historically appear here.
Every metric tested for correlation with price at 7 and 14-day horizons. Only statistically significant results (p < 0.05) survive.
Multi-condition patterns backtested as trading rules. Win rates, equity curves, hold period optimization — all from real price data.
Buy when Trading Volume is low AND Sentiment Ratio is high AND RSI (14d) is high
hold 14dSell when Fear & Greed is low AND RSI (14d) is high AND Social Dominance is high
hold 14dReal ERC20 transfers from 7 chains. Exchange flow detection, wash trading analysis, anomaly alerts — directly from Etherscan. No estimates.
Metrics per token
Data sources
Tests per analysis
Days of data
A statistical analysis engine for crypto tokens. 31 metrics from 7 data sources — cross-correlations, association rules, backtested strategies, and on-chain transfer analysis. No opinions, no predictions — just statistically proven patterns from 90 days of real data.
Absolutely not. TORY shows what has historically correlated with price movement and which patterns have worked in the past. Past performance doesn't guarantee future results. Always DYOR.
Any token on CoinGecko. For on-chain analysis, we support ERC20 tokens on Ethereum, Polygon, Arbitrum, Base, Optimism, Avalanche, and BSC. Chain detection is automatic.
Every analysis is computed fresh on request — no pre-cached scores. Price data spans 90 days. On-chain transfers are fetched in real-time from block explorers. Full analysis takes ~15 seconds.
The composite score (0–100) aggregates all statistically significant metrics weighted by correlation strength. Above 60 = bullish, below 40 = bearish. The market regime adds context about what historically happens in similar conditions.
Multi-condition patterns (e.g., "when Fear & Greed is low AND Volatility is high → buy, hold 7 days") backtested against real price data. Win rate, avg return, max drawdown, and vs buy-and-hold comparison. Only strategies beating random chance are shown.
