Protocol
Chain
Total TVL
Avg APY
Pools
Chains
🔥 Hot: volume > 50% of TVL 🚀 High APY: >30% Favorite
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Global Market Cap
24h Volume
BTC Dominance
Active Cryptos
# Coin Price 1h % 24h % 7d % Market Cap 24h Volume 7d Chart
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Data via CoinGecko API · Updates every 60s
Crypto Fear & Greed Index
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Yesterday
Last Week
Last Month
Index Zones
Extreme Fear
0 – 24
Market is in panic — potential buy opportunity
Fear
25 – 49
Investors are worried, caution advised
Neutral
50 – 54
Balanced market sentiment
Greed
55 – 74
FOMO rising, markets heating up
Extreme Greed
75 – 100
Market may be overheated — correction risk
Index Drivers
Volatility
25%
Market Momentum
25%
Social Media
15%
Surveys
15%
BTC Dominance
10%
Google Trends
Weights shown are approximate allocations used by the index
30-Day History
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⚡ Simulate Uniswap v3-style concentrated liquidity positions. Search any pair like ETH/USDC, WBTC-ETH or SOL/USDC to find live pools from DeFiLlama, set your price range and deposit, and get instant projections for fees, APR, and impermanent loss.
⚙️ Simulation Setup
Search Pool Pair (e.g. ETH/USDC, WBTC-ETH…)
🔍
Deposit Amount $1,000
Fee Tier
Price Range CUSTOM
Current price:
Min ▲ Current Max
Min Price
Max Price
Quick Range Presets
Historical Period
🧮
No simulation yet
Search for a pool on the left, set your parameters, and click Run Simulation
🛡️ Calculate short positions to hedge your LP exposure. Select a token pair, set your position size and liquidity range, then see exactly how much to short and the cost of protection across different price scenarios.
⚙️ Position Setup
Search Pool Pair (e.g. ETH/USDC, WBTC-ETH…)
🔍
Token Price
Position Value (USD)
Liquidity Range
$2,204.16 ▲ Current $2,436.18
Lower bound %
Upper bound %
🎯 Hedging Strategy
Hedge Ratio: 50% (portion of position to hedge)
Leverage
Short Size
$500.00
0.2155 ETH
Collateral Required
$500.00
at 1x leverage
Funding / Day
-$0.15
≈ $4.50 / mo
Total Capital
$1,500.00
Position + Collateral
Scenario Analysis — What happens if the price moves?
Price Change ETH Price LP P&L Short P&L Net P&L
Select scenario: -10%
LP Loss at -10%
$0.00
Net After Hedge
$0.00