Value & Condition Signals
Market structure summary: We observe a 0.0% shift this week, which points toward price consolidation rather than immediate volatility. The 90-day range spans $0.19 to $0.24 (21% spread), which indicates moderate-volatility behavior.
Relative to the 30-day baseline ($0.23), pricing is near equilibrium. This sample does not include a stable graded benchmark, which means active listings remain the best condition-adjusted reference.










