Assets vergleichen
Bis zu sechs Research-Dateien nebeneinander. Eine Zeile erscheint nur, wenn mindestens ein Asset die Kennzahl hat; fehlt sie bei einem Asset, erklärt die Zelle den Grund, anstatt einen Gedankenstrich anzuzeigen, den man interpretieren müsste.
| Abbildung | Threshold NetworkT |
|---|---|
| overview | |
| Price point-in-time | $0.005229 |
| Market Capitalization point-in-time | $58.45M |
| Fully Diluted Valuation point-in-time | $58.45M |
| FDV / Market Cap point-in-time | 1.0× |
| 24-Hour Trading Volume 24h | $163.32M |
| Volume / Market Cap Turnover 24h volume against point-in-time market capitalization | 52.20% |
| Market Capitalization Rank point-in-time | 394 |
| Market Dominance point-in-time | 0.00% |
| Circulating Supply point-in-time | 11.15B |
| price | |
| All-Time High since inception | $0.2269 |
| Percent Below All-Time High point-in-time against since inception | -97.70% |
| Days Since All-Time High point-in-time against since inception | 1,645 days |
| All-Time Low since inception | $0.003155 |
| Percent Above All-Time Low point-in-time against since inception | 65.73% |
| 24-Hour Total Return 24h | 45.50% |
| 7-Day Total Return trailing 7 days | 42.40% |
| 30-Day Total Return trailing 30 days | 53.40% |
| 90-Day Total Return trailing 90 days | -24.07% |
| Year-to-Date Total Return January 1 to date | -56.84% |
| 1-Year Total Return trailing 1 year | -67.80% |
| Multi-Year Total Return (3-Year and 5-Year) trailing 3 years and trailing 5 years | -79.62% |
| 30-Day Annualized Volatility annualized from trailing 30 days | 63.72% |
| 90-Day Annualized Volatility annualized from trailing 90 days | 100.52% |
| Downside Deviation annualized from trailing 90 days | 75.08% |
| Maximum Drawdown since inception or the selected window | -81.29% |
| Current Drawdown point-in-time against running maximum | -98.05% |
| Drawdown Duration current episode | 1,639 days |
| Beta to Bitcoin trailing 90 days of daily returns | 0.94 |
| Correlation to Bitcoin trailing 90 days of daily returns | 0.55 |
| Return-to-Volatility Ratio (Sharpe-Style) trailing 1 year | -0.77 |
| Price to 200-Day Average point-in-time against trailing 200 days | 0.7× |
| tokenomics | |
| Total Supply point-in-time | 11.15B |
| Float (Circulating as Share of Total) point-in-time | 100.00% |
| Supply not yet circulating point-in-time | 0.00% |
| valuation | |
| Dilution overhang point-in-time | 0.00% |
Fahren Sie mit der Maus über einen Gedankenstrich, um zu lesen, warum diese Zahl für diesen Asset fehlt. Jede Zeile verlinkt auf die eigene Definition, Periode, Quellen und Einschränkungen.