See Market Crashes Coming
Before They Hit Your Portfolio.

Vega detects dangerous market conditions before they turn into 40% losses. Built by a 25-year Wall Street veteran. $99/month, not $999K/year.

No credit card required • Cancel anytime • 16 crisis events detected in Q4 2025

See the Platform in Action

Institutional-grade analytics designed for clarity and actionable insights.

Vega Dashboard Overview - Market conditions, predictions, and portfolio risk at a glance

Dashboard Overview: Real-time market regime, top predictions, and portfolio risk metrics

Predictions page with filtering and confidence scores

Multi-Horizon Predictions

Filter by horizon (24h-90d), regime, and confidence. See directional forecasts with calibrated probabilities for 400+ assets.

VaR calculator with correlation matrix

Portfolio Risk (VaR)

Calculate position and portfolio VaR using institutional methodology. View 30-day rolling correlations across your holdings.

Trading signals with entry, TP, SL, and R:R

Live Trading Signals

Actionable signals with entry price, take-profit, stop-loss, and risk/reward ratio. Execute manually or connect your exchange.

Plain English

What is Vega? Simply Put.

Think of Vega like a weather forecast for crypto markets.

Just like you'd check the weather before a hike, Vega tells you the market's "mood" before you trade. We call these moods regimes:

Bull Impulse

Strong uptrend

Momentum is your friend. Consider being more aggressive.

Bear Impulse

Strong downtrend

Risk-off environment. Consider reducing exposure.

Bull Chop

Sideways with bullish bias

Be patient. Choppy markets can stop you out.

Bear Chop

Sideways with bearish bias

Tread carefully. Wait for clearer signals.

Crisis

Storm incoming

High volatility, panic selling likely. Protect your capital. This is when portfolios get destroyed—and when Vega is most valuable.

The bottom line:

Vega monitors the market 24/7 and tells you when conditions change. You decide how to trade. In Q4 2025 alone, we detected 16 crisis events with an average drawdown of 21%—giving users time to protect their portfolios.

Why Vega Works

Stop Losing 40% Every Bear Market

Our crisis detection monitors volatility spikes, liquidation cascades, and correlation breakdowns—the same signals that precede major crashes. Know when to reduce exposure before drawdowns, not during. One avoided crash pays for 4+ years of subscription.

Built by Wall Street. Priced for Traders.

After 25 years deploying VaR systems for multi-billion dollar portfolios, our founder built the tool he always wished retail traders could access. Three risk methodologies, regime-aware adjustments, EWMA correlations—institutional-grade, not a simplified version. $99/month, not $500K/year.

Transparent Track Record. Fully Published.

Most prediction platforms show wins and hide losses. We publish walk-forward validation with every prediction recorded. See our performance across all market conditions. Every result published. No cherry-picking. No deleted losing trades.

0.05-0.12
Information Coefficient
In plain English: Our predictions have real, measurable edge
79.5%
Crisis SHORT Accuracy
In plain English: When we flag crisis + SHORT, we're usually right
400+
Cryptocurrencies
In plain English: BTC, ETH, altcoins—we cover them all
5
Market Regimes
In plain English: Different strategies for different conditions

"How Is This Different From Signal Groups?"

We're not selling signals. We're giving you institutional-grade intelligence.

What We Provide:

Regime classification tells you the current market state (bull impulse, bear impulse, chop, or crisis). Predictions give you directional probabilities with confidence scores. VaR calculations tell you how much to risk. You make the trading decisions.

What We Don't Do:

  • No "Buy SOL at $47 NOW" — We provide analysis, not commands
  • No guaranteed returns — Our IC is 0.05-0.12, solid for quant strategies but not a money printer
  • No hidden losing trades — Every prediction is logged and published

How to Verify:

Check our public performance dashboard. Walk-forward validation, no retroactive fitting. Judge for yourself.

Past performance does not guarantee future results. Predictions are provided for informational purposes only and do not constitute financial advice.

PerformanceTime

Institutional Tools. Retail Access.

The sophisticated analytics that hedge funds take for granted, now available to individual traders and family offices.

Core Feature

Regime-Based Architecture

Most prediction platforms use a single model. We deploy specialized models for each market regime, adapting as conditions change. Bull impulse regimes have shown 5.13% average 30-day returns vs. 0.23% in chop—knowing the difference matters.

Bull Impulse
Bear Impulse
Bull Chop
Bear Chop
Crisis
Core Feature

Multi-Horizon Predictions

One model can't optimize for both intraday signals and quarterly allocation. We provide predictions across five horizons (24h, 48h, 7d, 30d, 90d), each using timeframe-appropriate features. Swing traders and long-term holders get different signals—as they should.

24-48 hoursIntraday to swing
7 daysWeekly positioning
30-90 daysStrategic allocation
Differentiator

Confidence Calibration

Our models output probabilities, not just directions. A 0.68 confidence prediction means 68% historical win rate under similar conditions. Calibration is validated out-of-sample—no overfitting. You always know the statistical edge behind each signal.

Differentiator

Institutional Risk Management

The same VaR methodology used to manage risk at major investment banks, now available to retail traders and family offices. Three calculation methods (Historical, Parametric, Monte Carlo), regime-aware adjustments, EWMA correlation matrices. This is the exact system our founder deployed for multi-billion dollar portfolios—not a simplified version.

Bull ImpulseBear ImpulseChopBull Impulse

Built for How You Trade

Different strategies. Same institutional-grade intelligence.

Long-Term Investors

Protect your portfolio from devastating drawdowns

  • Crisis detection monitors volatility, liquidations, and correlations
  • Reduce position size or hedge when crisis conditions are detected
  • Sleep better knowing you won't wake up to a 40% loss
  • Use VaR calculations to right-size positions for your risk tolerance

Active Traders

Profit from regime shifts across every market condition

  • Trade with confidence knowing the current market regime
  • Use regime-specific predictions optimized for current conditions
  • Access 5 prediction horizons (24h to 90d) for your trading style
  • Capitalize on bull impulse regimes (avg 5.13% 30-day returns)

400+ cryptocurrencies across DeFi, Layer 1s, Layer 2s, AI, Gaming, and every major sector—proven in all five market regimes.

Real Examples

See the Difference Vega Makes

Here's what happened to traders with and without Vega during major market events.

Real Detection
November 2025

Altcoin Correction

10 major altcoins flagged Nov 12-22. Average drawdown: -21%. APT dropped 31%.

Without Vega

-25%

"Didn't see it coming"

With Vega

-8%

Reduced exposure after NEAR flagged

Bull Impulse
Q1 2024

Bitcoin ETF Rally

BTC rallied 70%+ as institutional money flowed in after ETF approval.

Without Vega

+15%

Waited for "confirmation"

With Vega

+52%

Bull Impulse detected early

Bear Chop
Summer 2023

Sideways Grind

Months of choppy price action. Perfect conditions for getting stopped out repeatedly.

Without Vega

-22%

Death by a thousand stop-losses

With Vega

+3%

Reduced size in chop regime

Results are illustrative based on regime-appropriate position sizing. Individual results will vary. Past performance does not guarantee future results. Not financial advice.

Institutional Methodology. Transparent Results.

Here's the Data.

We publish walk-forward validation metrics so you can judge our methodology for yourself. No cherry-picking. No retroactive fitting. No hidden losing trades.

0.05-0.12
Information Coefficient
Spearman correlation between predicted and actual returns. IC > 0.03 is considered actionable in institutional quant strategies.
5
Market Regimes
Specialized models for each condition: Bull Impulse, Bear Impulse, Bull Chop, Bear Chop, and Crisis. Different strategies for different markets.
5.13%
Bull Impulse Returns
Average 30-day BTC returns when regime classifier identifies bull impulse conditions (historical validation).
Unique to Vega

Our Performance Guarantee

We're so confident in our methodology that we put our revenue on the line.

Monthly Validation

We revalidate models every month using walk-forward testing

Public Results

Every prediction recorded and published—no cherry-picking

Payment Freeze

If we underperform, your payments automatically freeze

If our 7-day accuracy drops below 52% or IC goes negative—you stop paying until we recover. If we miss a systemic event, we publish a full investigation.

Ready to Stop Flying Blind?

The next market crash is coming. The question is whether you'll see it 48 hours early—or find out when your portfolio is down 40%.

No credit card required • Cancel anytime • 100% major event accuracy