Markets

Live digital-asset market dashboard across price, liquidity, volatility and positioning.

The market view now extends beyond a single ETH price screen. BTC, ETH and SOL can be monitored side by side with live candlesticks, public options metrics and macro market context so the desk can read broader conditions on one institutional screen.

ConnectingLos Angeles
DIGITAL ASSET MARKET DASHBOARD
Public venue dataConnecting…
Selected AssetLoading…
24h High
24h Low
24h Volume
4-Day Reference
Primary Venue
Connecting to market chart…Spot OHLC · volume · Los Angeles time · 15 sec refresh
GLOBAL MARKET CONTEXTConnecting
Total Market Cap
24h Market Volume
BTC Dominance
ETH Dominance
Active Cryptocurrencies
BTC Options Open Interest Connecting
BTC Options 24h Volume
BTC OI-weighted Mark IV
ETH Options Open Interest Connecting
ETH Options 24h Volume
ETH OI-weighted Mark IV
Public venue data refreshes automatically throughout the session. This expanded dashboard combines spot pricing, multi-asset price action, options positioning and macro market context for institutional reference only and is not an Avermont executable quote.
Cross-Market Context

The quote is only one layer of the market.

A professional market screen should show more than one token and more than one chart. The desk needs to connect spot action, volatility, options positioning and broad market tone before translating a view into risk.

Multi-Asset ReadBTC, ETH and SOL highlight different parts of market leadership, beta and liquidity conditions.
Volatility ContextRealized movement, implied volatility and options positioning help frame how expensive or cheap risk is becoming.
Macro TapeTotal market value, turnover and dominance metrics help distinguish isolated moves from broader market participation.
Execution RelevancePrice alone does not define trade quality. Volume, range, VWAP relationship and session tone matter to the execution decision.
Avermont derivatives team reviewing options analytics in Los Angeles
What We Monitor

What the desk watches beyond the headline price.

Our market framework combines spot, derivatives and risk indicators so that execution and product decisions are made with broader context.

01

Spot Liquidity

Price, spread, depth, turnover, venue fragmentation and market impact.

02

Realized Volatility

Short- and medium-horizon realized movement, range expansion and regime shifts.

03

Implied Volatility

ATM levels, skew, wings, term structure and relative-value relationships.

04

Open Interest

Position build-up, maturity concentration and changes around market events.

05

Funding & Basis

Carry, leverage demand, curve shape and dislocations across derivative venues.

06

Cross-Market Signals

Relationships among digital assets, rates, equities, dollar liquidity and risk sentiment.

Market Discipline

Execution improves when the screen is structured around decision-making.

A broad market monitor is useful only if it reduces noise. Avermont organizes its desk view around three questions: what is moving, how fast is risk repricing and whether the move is broad enough to matter for positioning and execution.

01Price & Liquidity

Read headline direction together with volume, range and venue conditions.

02Volatility & Options

Track how the derivatives market is repricing risk and demand for convexity.

03Participation

Use market-cap, volume and dominance metrics to gauge whether flows are concentrated or broad.

04Decision Context

Translate market information into hedging, execution and risk-management choices.