Evidence first, price second.
Find contract-resolved flow, verify whether a gap is executable, and track what happened after each signal.
Signals that passed execution gates
Exact contract, fresh data, active pool coverage, liquidity, participation and directional flow are required.
Visible moves that are not actionable
Tokenized equities
Signal tracker
Every qualifying contract-resolved event is saved once and measured against the observed token and reference prices after 30 minutes, 4 hours and 24 hours. Outcomes describe what happened, not whether a trade should have been taken.
RWA activity tape
Live execution and first-seen milestones, only where the wrapper contract is known. Coverage state is shown separately from observed trades.
Where tokenized equity inventory is moving
This view shows indexed CEX movement by issuer. It is deliberately labeled symbol matched until the next contract-identity phase lands.
Preparing capital read...
Withdrawals and deposits are contextual signals, not a trade instruction.symbol matched coverageWithdrawal and inflow map
Liquidity is fragmented by design
Compare issuer universes before treating any price gap as a route. Volume, reference coverage and indexed flow live together here.