BTC Dashboard
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⚙️ Settings
Enter current Truflation rate manually
BTC
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MSTR
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MSTU
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SOL
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NASDAQ
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Au
Gold
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OIL
Crude
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Power Law
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Avg Fair Value
10Y
US10Y
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Fear & Greed
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Puell Multiple
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Truflation
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Real-time CPI
BTC HealthLive
Bitcoin's block reward is cut in half every 210,000 blocks (~4 years). Halving reduces new BTC supply, historically triggering bull runs within 12-18 months.
Next Halving
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Days
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Hours
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Mins
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Secs
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Bitcoin follows a roughly 4-year halving cycle. Each phase (Wait, Profit, Bear, Buy) reflects historical price behavior relative to time since the last halving.
Current Cycle Phase
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Week -- of 208
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Crypto Mkt Cap: --
Halving Cycle Progress
WAIT
PROFIT
BEAR
BUY
Wk 0-40
Wk 40-80
Wk 80-125
Wk 125-208
Mathematical model predicting BTC fair value based on time since genesis. Price above = overvalued, below = undervalued.
Power Law Price
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Avg Fair Value
200-week moving average acts as historical price floor. BTC rarely trades below this level in bull markets.
BTC Floor Price
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200-Week MA
Average price at which all BTC last moved on-chain. Acts as aggregate cost basis for the network.
Realized Price
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Avg Cost Basis
Measures market sentiment from 0 (extreme fear) to 100 (extreme greed). Extreme fear often signals buying opportunities.
Fear & Greed
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02575100
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Average purchase price of bitcoin that moved in the last 155 days (short-term holders). Price above this line acts as bull market support. Price below it means recent buyers are underwater and it acts as resistance.
STH Cost Basis
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Compares daily miner revenue to yearly average. Below 0.5 = undervalued (buy zone), above 4.0 = overvalued (cycle top).
Puell Multiple
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00.51.54+
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MVRV adjusted for volatility. Below 0 = undervalued (deep buy), 0-2 = fair value, 2-5 = overvalued, above 7 = extreme top.
MVRV-Z
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-1057+
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BTC Dominance Regime

Price ↑ Dom ↑ BTC-Led Bull
→ BUY BTC, Avoid Alts

Price ↑ Dom ↓ Altseason
→ Hold BTC, Consider Alts

Price ↓ Dom ↑ Flight to Safety
→ Exit Alts, Stable Coins

Price ↓ Dom ↓ Bear Market
→ Hold Cash, buy dips
BTC Dominance
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40%70%
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Spent Output Profit Ratio measures whether BTC moving on-chain is selling at profit or loss. Below 1 = capitulation (buy signal), above 1 = profit-taking, SOPR at 1 acts as support in bull markets.
SOPR
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0.901.01.10
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📈MSTR / MSTULive
MSTR
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MSTU
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Multiple of Net Asset Value based on Enterprise Value. Measures how much premium or discount the market assigns to Strategy's BTC holdings. Below 1 = discount, above 1 = premium.
mNAV (EV)
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Total bitcoin held by Strategy (formerly MicroStrategy), sourced from SEC 8-K filings. Includes average cost basis calculated from aggregate purchase price.
BTC Holdings
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Market cap plus debt and preferred stock minus cash. A more complete measure of Strategy's total value than market cap alone, used for mNAV calculation.
Enterprise Value
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Total value of all MSTR shares at the current price. Add debt and preferred stock, subtract cash, and you get Enterprise Value.
Market Cap
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MSTR equity
Recent BTC Purchases
DateBTCAvg PriceAcq Price
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📉InflationReal-time vs Official
Real-time inflation index using 30+ data categories including food, housing, and transportation. Updated daily, offering a leading indicator versus the monthly BLS report.
Truflation
Daily real-time
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Official Consumer Price Index from the Bureau of Labor Statistics. Published monthly with a one-month lag. The benchmark used by the Fed for rate decisions.
BLS CPI
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🌐Macro SentimentLive
The 10-year yield sets borrowing costs across the economy. When it climbs, money gets tighter and investors start playing defense. When it falls, conditions ease up and confidence returns to the market.
US10Y
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The 2-year yield reflects what investors think the Fed will do next. Falling means the market expects rate cuts and feels optimistic. Rising means tighter policy is expected and the mood gets cautious.
US02Y
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The dollar acts as a global liquidity gauge. When it strengthens, it puts pressure on stocks, commodities, and overseas markets. When it weakens, capital flows more freely and sentiment improves.
DXY
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Oil is baked into nearly every cost in the economy. Steady prices keep sentiment positive. Sharp spikes trigger inflation worries and make investors nervous about consumer spending slowing down.
Crude Oil
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Gold is where investors go when they're uncertain. Rising gold means growing anxiety about inflation or instability. When gold is quiet, it means the market feels comfortable with the outlook.
Gold
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The VIX reflects how much turbulence investors expect ahead. Low readings mean the market is calm and confident. Spikes mean fear is building and investors are actively protecting their portfolios.
VIX
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Copper tracks real demand in the global economy. Rising prices signal growth and optimism about expansion ahead. Falling prices are an early warning that economic momentum is fading.
Copper
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This pair reflects how freely money is flowing into global markets. Stability here keeps investors confident. A sharp drop signals leveraged bets are unwinding, which can trigger selling across the board.
USD/JPY
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