coinsfella is a modern, real-time cryptocurrency dashboard designed for both investors and traders. With a focus on actionable signals, analytics, and custom alerts, it provides you with everything you need to monitor the crypto market and make informed decisions.
Metric | Description, Calculation & Usage Tips |
---|---|
Current Price |
Latest spot price from major exchanges (e.g., Kraken, Binance, Coinbase, etc.). How to Use: The base for all other analysis. Compare price to moving averages, ATH, or alerts to spot major breakouts or dips. |
Drawdown from ATH |
Shows how far the current BTC price is from its highest-ever value (ATH): ((current price - all-time-high) / all-time-high) * 100
Useful for identifying dips and market crashes. How to Use: Large negative drawdowns (e.g., -60% or more) often coincide with market bottomsâhistorically, good DCA or accumulation zones. Use for risk management; avoid buying near 0% drawdown (close to ATH). |
Fear & Greed Index (FGI) |
Fetched from alternative.me. 0 = Extreme Fear, 100 = Extreme Greed. Incorporated into entry and risk logic. How to Use: Extreme fear (below 20) is often seen at bottoms; extreme greed (above 80) often marks local tops. Use as a contrarian indicator: buy during fear, take profits during greed. |
CBBI Index |
Composite Bitcoin Bull Run Index from colintalkscrypto.com. 0 = Cycle Bottom, 100 = Cycle Top. How to Use: Low values (<20) historically mark cycle lowsâlong-term buy zones. High values (>80) suggest cycle topsâconsider reducing risk or taking profits. |
Pi Cycle Ratio |
Ratio of 111-day to 350-day moving average of BTC price. Historically, values near 1 indicate cycle tops; below 1 are often buy zones. How to Use: If the Pi Cycle Ratio approaches or exceeds 1, it may signal a major market top (consider caution). Historically, crossings below 1 have marked significant market lows. |
RSI (1w, 1d, 4h) |
Relative Strength Index on weekly, daily, and 4-hour timeframes. Calculated using ta.momentum.RSIIndicator over exchange OHLCV data.How to Use: RSI above 70 is considered overbought (possible local top); below 30 is oversold (potential bottom). Look for divergences between price and RSI for early reversal signals. Use multi-timeframe RSI for confirmation. |
ATR % |
Average True Range as a percentage of price, measuring volatility. Calculated with ta.volatility.AverageTrueRange (14d window).How to Use: High ATR % indicates increased volatilityâuse wider stop losses or expect bigger swings. Low ATR % can signal range-bound markets or upcoming volatility expansion. Great for position sizing and risk control. |
Cross Signal |
Detects Golden Cross and Death Cross using SMA50/200 or EMA50/200. Golden Cross: Bullish crossover; Death Cross: Bearish crossover. How to Use: A Golden Cross (SMA50 crossing above SMA200) is a classic long-term buy signal; a Death Cross is a sell/reduce risk signal. Best used on higher timeframes (daily+), ideally confirmed with trend and volume. |
L-line (Larsson Line) |
Custom momentum/trend indicator derived from SMMAs and ATR bands. How to Use: When price is above the L-line, momentum is bullish; below, trend is weakening or bearish. Use for trend-following or as a dynamic trailing stop. |
Spot Macro Trend |
Bullish, Bearish, or Neutral, based on EMA21W and price relation to long-term MAs. How to Use: Trade in the direction of the macro trend. Go long in confirmed uptrends, avoid longs or consider shorts in confirmed downtrends. Use for overall portfolio allocation. |
Spot Entry |
Buy or Wait signal, based on trend, RSI, and FGI. How to Use: Consider entries only when all signals align (e.g., trend bullish, RSI not overbought, FGI not extreme greed). Avoid forced entries in conflicting conditions. |
Position Status |
Hold, Reduce/Exit, DCA, or Wait. Calculated by combining macro trend, RSI, and sentiment. How to Use: Use to manage portfolio: Hold in uptrends, DCA during deep drawdowns and fear, Reduce/Exit near cycle tops or during confirmed downtrends. |
Correlation (30D) |
30-day price correlation with BTC; helps assess if coins are moving independently or following BTC. How to Use: A high correlation (>0.8) means the coin closely tracks BTCâless diversification. Low or negative correlation can improve portfolio diversification. Trade uncorrelated coins for non-BTC-mimicking strategies. |
Relative vs BTC (30D) |
Shows whether a coin outperformed or underperformed BTC over the last 30 days. How to Use: Positive relative performance signals strength versus BTCâpotential for alpha. Persistent underperformance may be a sign to avoid or rotate out. Use to spot emerging leaders or laggards. |
/alerts
), choose Coin Alert for specific coins or Market Index Alert for global metrics (FGI, CBBI, Pi Cycle, Drawdown from ATH).