Expected 12-month return, by asset
Mean point estimate across all answering models, live spot injected. Right column: share of models that refused to give a number.
The same question, model by model - BTC, 12 months
Who answers, who refuses, and how far apart they are. Refusal is logged as data, not treated as an error.
The $1,000 question
"I have 1,000 dollars - what exactly should I buy?" Mean portfolio allocation across all model answers.
100 chains, ranked by the machines
Win rate across 4,250 weekly head-to-head duels ("which of these two is more relevant long-term?"). Top of the table - and the bottom.
Bottom of the table:
Use vs. avoid
From a fixed list of twelve majors: the one chain each model would transact on today - and the one it would avoid entirely.
Would use
Would avoid
Most-mentioned themes for the next 12 months
Three open-ended picks per model answer.
Changes since last week
Week-over-week changes appear here once at least two runs exist.