Know the structural environment before entering a position. Align your strategy with current market conditions, not noise.
Monitor macro environment shifts across time. Adjust allocation based on systematic data, not guesswork or headlines.
Access a transparent, rules-based classification framework. No black box. Every factor weighted and explained clearly.
Market data sourced from professional exchanges and public economic data providers. Fully systematic — no manual inputs, no subjective calls.
Five factors — Pulse, Flow, Trend, Exposure, and Sentiment — each scored independently using transparent, rules-based methodology.
Scores combine into a single market environment: Red, Orange, Yellow, Blue, or Purple. Classification updated every week.
The GMI Score reflects the current structural condition of the market. It is not a prediction of future direction — it is a classification of what is happening now.
One score, updated weekly. Instantly see whether the market environment is strong, neutral, or weak.
Understand what is driving the score. Each factor scored independently. Full transparency.
Track how market environments have changed over time. Spot patterns. Compare to past conditions.
Key economic events that may affect market structure. Plan ahead with data, not guesswork.
Federal Reserve Economic Data for macroeconomic indicators and historical trends.
Blockchain network activity, transaction flows, and on-chain metrics for digital asset coverage.
Direct market data and real-time pricing from major exchanges worldwide.