Value & Condition Signals
Market structure summary: Weekly drift is minimal (0.0%), indicating a relatively balanced short-term market. Observed 90-day bounds of $0.38 and $0.55 create a 40% band, matching a moderate-volatility profile.
Relative to the 30-day baseline ($0.42), pricing is near equilibrium. This sample does not include a stable graded benchmark, which means active listings remain the best condition-adjusted reference.








