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NEAR/ETH SARIMAX Opportunity Cost Model

BASE ANCHOR: ETH
HORIZON: 23 WEEKS

Spot Ratio Price

Ξ 0.001191

23-Week Projected Return

-5.14%

Multi-SMA Pair Risk Premium

0.81/1.0

Money Gravity (200W Baseline)

82.2%

Opportunity Cost Diagnostics

If the projected return is negative, holding NEAR incurs a destructive opportunity cost compared to holding ETH directly.