Overview
PC0000023 vs PC0000015 is one of the most watched crypto matchups. Beyond headline prices, this comparison blends market structure, technical readings and probabilistic context without promising outcomes.
Quick winners
Full comparison
| Metric | PC0000023 | PC0000015 |
|---|---|---|
| Price | $1,861.76 | $1,861.76 |
| Market Cap | $114.50M | $110.23M |
| FDV | — | — |
| Volume 24h | $0.000000 | $0.000000 |
| Circulating Supply | — | — |
| Total Supply | — | — |
| Max Supply | — | — |
| Rank | 233.00 | 242.00 |
| Dominance | — | — |
| Liquidity | — | — |
| Volatility | +3.50% | +3.50% |
| ATH | — | — |
| ATL | — | — |
| ROI | — | — |
Performance
| Timeframe | PC0000023 | PC0000015 |
|---|---|---|
| 1H | — | — |
| 24H | +0.00% | +0.00% |
| 7D | — | — |
| 30D | — | — |
| 90D | — | — |
| 1Y | — | — |
| YTD | — | — |
| ALL | — | — |
Comparative chart
Technical indicators
| Indicator | PC0000023 | PC0000015 |
|---|---|---|
| RSI | 54.31 | 54.31 |
| MACD histogram | — | — |
| EMA20 | — | — |
| EMA50 | — | — |
| EMA100 | — | — |
| EMA200 | — | — |
| SMA50 | — | — |
| SMA200 | — | — |
| ATR | 66.45 | 66.45 |
| ADX | 20.44 | 20.44 |
| Support | 1,827.82 | 1,827.82 |
| Resistance | 1,960.30 | 1,960.30 |
| Trend | bearish | bearish |
| Momentum | 60.00 | 60.00 |
| Signal | neutral | neutral |
Automatic technical analysis
Indicator stacks for PC0000023/PC0000015 currently lean on separate regimes: bearish versus bearish. Treat MACD and RSI as context, not as standalone entry triggers.
Fundamentals
| Metric | PC0000023 | PC0000015 |
|---|---|---|
| Consensus | — | — |
| Blockchain | — | — |
| TPS | — | — |
| Block time | — | — |
| Finality | — | — |
| Validators | — | — |
| Staking | — | — |
| TVL | — | — |
| Supply model | — | — |
| Inflation | — | — |
| Developer activity | — | — |
| Github activity | — | — |
| On-chain activity | — | — |
| Whale activity | — | — |
| Addresses | — | — |
| Gas fees | — | — |
Ecosystem
PC0000023
PC0000015
Pros and cons
Pros of PC0000023
- PC0000023 often anchors narratives that attract sustained media and analyst coverage.
- PC0000023 typically benefits from deeper liquidity and broader market recognition inside the Top 300 set.
- Higher ranking for PC0000023 can translate into tighter spreads on major venues.
- Market-cap scale on PC0000023 may dampen some idiosyncratic shocks versus smaller peers.
Cons of PC0000023
- Data gaps in niche fundamentals still apply — absence of a field is not confirmation.
- Crowded positioning around PC0000023 sometimes amplifies squeeze or flush risk.
- Large-cap status for PC0000023 can mean slower percentage upside versus high-beta alternatives.
Pros of PC0000015
- If technical momentum aligns, PC0000015 may outperform on medium-term windows.
- Diversifying versus PC0000023 with PC0000015 can change portfolio factor exposure.
- PC0000015 can offer higher relative beta when market attention rotates toward its niche.
Cons of PC0000015
- Relative underperformance versus PC0000023 can persist through entire market regimes.
- Incomplete fundamental coverage can hide operational or tokenomic risks.
- Smaller book depth versus large caps can increase slippage for PC0000015.
- Higher volatility on PC0000015 cuts both ways and demands stricter risk limits.
Which looks stronger right now?
Data currently points to a probabilistic edge for PC0000023 on size and PC0000023 / PC0000015 on activity. Neither reading guarantees future returns.
AI summary
PEPS synthesizes module output into a readable pair brief. Headline stats put PC0000023 at $1,861.76 and PC0000015 at $1,861.76. Relative performance over 24h (PC0000023 / PC0000015) is a short window. Pair it with 30d/1y rows before inferring regime change. Return to related comparisons and individual coin intelligence pages to validate whether the relative story still holds after fresh prints.
FAQ
Which is better, PC0000023 or PC0000015?
“Better” depends on horizon and risk. PC0000023 leads on market cap today, while PC0000023 / PC0000015 leads the 24h move — neither is a guarantee.
Which has more upside potential, PC0000023 or PC0000015?
Higher-beta assets can move more in both directions. Use performance tables and volatility, not headlines, to judge potential ranges.
Which is less risky right now?
Lower volatility and deeper liquidity usually imply milder path risk, but crypto tails remain large for both PC0000023 and PC0000015.
Which has stronger developer activity?
Check the fundamentals table for developer/github fields when populated. Missing values mean the feed has no reliable reading yet.
Which looks more decentralized?
Decentralization is multi-dimensional (validators, client diversity, token distribution). This page surfaces available consensus/validator fields without over-claiming.
Which has lower fees?
Fee comparisons belong to each network’s fee market. Where gas/fee metrics exist in fundamentals, compare them; otherwise verify on explorers.
Which is better for investing?
Investing choices need personal constraints. Use this comparison as research input, then size positions with an explicit invalidation plan.
Which is better for staking?
If staking fields are present, compare yield mechanics and lockups off-platform. Staking returns are not risk-free.
Which is more used day to day?
Volume, on-chain activity and ecosystem links are practical usage proxies. PC0000023 / PC0000015 currently leads traded volume on this snapshot.
Which has the better recent performance?
See the performance table across 1h through 1y. The 24h leader is PC0000023 / PC0000015, but longer windows can disagree.