MacroJanuary 1, 2025 – January 30, 2026
REGIME RISKSTABLE

ETH Tail Risk Regime

Historical tail-risk regime probability (data through 2026-01-30). Probability of ETH entering a convex, stress-dominated regime over a fixed horizon.

PRIMARY
Regime Active
PROBABILITY
53.8%
DISPERSION
±5.0pp
VELOCITY
+2.89pp/d
Belief Signal + DispersionMERGED

Wider band = more market disagreement. Rising line + widening band = fragile conviction.

Probability
Uncertainty

TIP: When the blue line rises but the shaded area widens, you're seeing "fragile conviction" — probability is up, but so is uncertainty.

Regime Risk Analysis: Stable regime (velocity=2.89pp/d, dispersion=5.0pp). Regime Risk measures belief instability and consensus breakdown, not outcome certainty.
Outcomes
  • 1.Regime Active
  • 2.Regime Inactive
Contributors
EHIQ Research@EventHorizonIQ

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