BTC$83,386.50▼ 1.49%ETH$2,683.95▼ 0.72%USDT$0.9997▼ 0.01%BNB$766.66▼ 1.40%XRP$1.52▼ 0.81%USDC$1.00▼ 0.01%SOL$119.63▼ 2.79%TRX$0.3350▲ 0.29%ZEC$1,595.00▼ 3.92%FIGR_HELOC$1.00▼ 5.78%HYPE$89.81▼ 2.77%DOGE$0.0941▼ 3.92%LINK$14.58▲ 3.57%XMR$118.70▼ 3.38%WBT$83.56▼ 1.30%USDS$0.9995▼ 0.03%ADA$0.2503▼ 1.65%RAIN$0.0126▼ 0.92%LEO$9.05▼ 0.15%XLM$0.2240▲ 5.12%NEAR$5.22▲ 0.35%BCH$312.90▼ 6.90%UNI$9.02▼ 7.79%LTC$70.31▼ 0.87%HBAR$0.1184▲ 27.30%CC$0.1332▼ 2.34%AVAX$10.50▼ 3.33%USDE$1.00▲ 0.00%SUI$1.19▼ 5.30%GRAM$1.66▲ 2.94%DAI$1.00▲ 0.03%USD1$0.9998▼ 0.02%BTW$1.30▲ 13.22%TAO$306.60▼ 7.41%QNT$231.75▲ 47.93%CRO$0.0691▲ 1.11%SHIB$0.000006▼ 3.60%USDG$0.9999▲ 0.00%XAUT$4,154.27▼ 2.86%PYUSD$0.9997▼ 0.01%BTC$83,386.50▼ 1.49%ETH$2,683.95▼ 0.72%USDT$0.9997▼ 0.01%BNB$766.66▼ 1.40%XRP$1.52▼ 0.81%USDC$1.00▼ 0.01%SOL$119.63▼ 2.79%TRX$0.3350▲ 0.29%ZEC$1,595.00▼ 3.92%FIGR_HELOC$1.00▼ 5.78%HYPE$89.81▼ 2.77%DOGE$0.0941▼ 3.92%LINK$14.58▲ 3.57%XMR$118.70▼ 3.38%WBT$83.56▼ 1.30%USDS$0.9995▼ 0.03%ADA$0.2503▼ 1.65%RAIN$0.0126▼ 0.92%LEO$9.05▼ 0.15%XLM$0.2240▲ 5.12%NEAR$5.22▲ 0.35%BCH$312.90▼ 6.90%UNI$9.02▼ 7.79%LTC$70.31▼ 0.87%HBAR$0.1184▲ 27.30%CC$0.1332▼ 2.34%AVAX$10.50▼ 3.33%USDE$1.00▲ 0.00%SUI$1.19▼ 5.30%GRAM$1.66▲ 2.94%DAI$1.00▲ 0.03%USD1$0.9998▼ 0.02%BTW$1.30▲ 13.22%TAO$306.60▼ 7.41%QNT$231.75▲ 47.93%CRO$0.0691▲ 1.11%SHIB$0.000006▼ 3.60%USDG$0.9999▲ 0.00%XAUT$4,154.27▼ 2.86%PYUSD$0.9997▼ 0.01%

Achi vs BNB

Achi (ACH) and BNB (BNB) compared side by side. Over the past 1 year, BNB is ahead by 48.0 percentage points (ACH -67.5% against BNB -19.6%). Their daily returns move loosely together (correlation 0.57 across 399 shared trading days). ACH has been the more volatile of the two, at 81% annualised against BNB's 51%.

AchiACH
$0.006060
24h
-39.38%
Market cap
—
Volume 24h
$939,786
Volatility (ann.)
81%
BNBBNB
$767.6400
24h
-1.80%
Market cap
$102.20B
Volume 24h
$936.92M
Volatility (ann.)
51%

Performance

PeriodACHBNBAhead
7 days+0.25%+0.82%BNB
30 days+18.53%+12.64%ACH
90 days+39.52%+39.21%ACH
1 year-67.52%-19.57%BNB

Risk & extremes

MetricACHBNB
Max drawdown (400d)-80.3%-58.2%
Risk-adjusted return (90d)0.561.13
Best 30 days (past year)+63.1%+29.4%
Worst 30 days (past year)-44.3%-34.9%

Relative strength over 90 days: ACH outperformed BNB by 6.0% — measured on the ACH/BNB ratio, so it holds regardless of market direction.

Correlation

0.57over 399 shared trading days
7d: insufficient data30d: 0.6590d: 0.481y: 0.57

Measured on daily returns rather than on prices. Two assets that both simply trend upward score near 1.0 on raw prices whether or not they move together, so returns are what answer the question people mean by correlation.