Stop paying for
black-box market making.
Keep your token liquid until the next bull run with self-serve bots, hard budget caps, live order-level reporting, and expert support when you need judgment.
Your MM is expensive
Retainers, token loans, hidden add-ons, and no clear answer when you ask what the budget actually bought.
You are bleeding treasury
Volume, spread support, fees, and inventory drift all hit the same wallet. You need to know what is worth keeping.
Execution is a black box
Telegram updates and monthly PDFs are not enough when the book is moving today and your community is watching.
You still need judgment
Most token teams do not want to become traders. They want control, context, and someone who can help tune the first setup.
Your market maker should not be a black box.
The unique promise is not only cheaper execution. It is knowing exactly what happened, what it cost, and what to change next.
Orders
Placed, filled, canceled, rejected - attributed to the bot and strategy that caused them.
Costs
Fees, quote spent, token inventory movement, and per-strategy budget burn.
Markets
Spread, depth, uptime, exchange health, and which pair is drifting out of band.
Actions
What changed, who changed it, when it happened, and what to adjust next.
Four families. One control plane.
Each family solves a different liquidity problem. Pricing tiers buy you more of them running in parallel — not different software.
volume strategies
Budget-aware activity around mid that keeps the candle warm and the order book engaged without burning quote.
depth maintenance
Stacks bid + ask layers near mid with rate-limit-aware refresh. Keeps spread inside your target band.
range defense
Reacts when price moves outside an operator-defined band. Spend cap protects treasury during volatile moves.
follow / mirror
Mirrors a source pair so your secondary listings stay in line. Kills cross-venue arbitrage before bots eat it.
Control the book. Watch the cost.
Toggle mock bots on ABC/USDT and watch the chart, spread, and book react. In the real dashboard, this same layer is connected to order audit, costs, fees, and alerts.
Three bots. One pair. Move the knobs.
Tiny orders cycling between bid1 and ask1. Generates volume + a healthy candle.
Stacks bid + ask orders close to mid. Tight spread, deep ladder, attractive book.
Pulls price back into a defined band. Defensive — stops outside actors from moving you.
Pick the problem you are solving.
The onboarding starts with your situation, then maps it to a setup, budget limits, dashboard metrics, and support path.
Survive until the next bull run
Keep a real book alive with low-cost depth, hard spend caps, alerts, and weekly visibility into what liquidity is costing you.
- preserve runway
- avoid dead charts
- know weekly burn
Cut market-making burn
Replace a blind retainer with capped strategies. See whether volume, depth, fees, or inventory drift is where the money goes.
- budget caps per bot
- strategy-level costs
- less blind spend
Regain control from your MM
Watch every order and every fill. If something looks wrong, pause bots, change limits, or ask us to review the setup with you.
- live order tape
- clear audit trail
- human review when needed
Prepare or stabilize a listing
When timing matters, launch from presets for opening depth, spread maintenance, and multi-exchange control without waiting days.
- faster setup
- controlled first book
- clear post-launch reporting
Self-serve when you want control. Assisted when you need judgment.
Guided first setup
We help choose the first strategy, max cost, spread target, and metrics to watch.
Review what is burning
Spot which pair, bot, fee profile, or inventory movement is hurting the budget.
Ongoing operator support
Use the panel yourself, then pull us in via Telegram when the market gets messy.
Start with the pain, not the bot type.
We ask why you are here first: survive, cut burn, understand losses, recover from a black-box MM, or prepare a listing.
- 01
choose the problem
Tell us whether you need survival mode, cost reduction, visibility, assisted setup, or launch support.
operator notemaps to recommended preset + support path - 02
connect context
Token, exchanges, current MM spend, treasury comfort zone, and where you think losses happen.
operator noteno custody / trade-only API keys - 03
review recommended setup
Preset, budget caps, order frequency, expected dashboard metrics, and what to watch in the first week.
operator notecreate draft or start with help - 04
run, measure, adjust
Watch orders, fills, fees, P&L, spread, inventory movement, and strategy burn in real time.
operator noteaudit log + alerts + kill switch
Your funds stay on your exchange. Your control stays visible.
read + trade only
We accept API keys for market operations only. Withdraw permission should never be enabled.
encrypted key handling
Keys are encrypted before storage; plaintext is used only by the bot runtime when placing orders.
audit log per order
Every order, fill, cancel, reject, fee, and bot event is visible and attributable.
kill switch
Pause every bot and cancel active strategy orders from one control surface when the market changes.
budget caps
Set quote, token, order count, time, and price-bound limits before strategies run.
live transparency
The dashboard streams bot state and market events instead of hiding execution behind reports.
Public pricing. No blind retainer.
starter
for runway preservation on a single CEX + DEX pair
- ->all strategies unlocked
- ->1 CEX + 1 DEX
- ->email + telegram alerts
- ->live order tape + audit log
pro
for teams replacing or auditing their current MM
- ->all strategies unlocked
- ->3 CEX + 2 DEX
- ->strategy-level cost reporting
- ->csv audit export
- ->priority telegram support
scale
for multi-exchange liquidity operations
- ->all strategies unlocked
- ->unlimited CEX + DEX
- ->sub-accounts for the team
- ->assisted strategy review
- ->longer audit retention
- ->priority response path
new listing
operator-led package for the listing moment — call or telegram only
- ->pre-listing setup with operator team
- ->active monitoring through listing day
- ->TG hotline during the high-stakes window
- ->post-listing first-week stabilization
- ->priced per case (volume target, exchanges, runway)
Questions before you touch API keys.
The first conversation is about risk, budget, and what you want to understand about your market making.
is this fully self-serve or assisted?
Both. You can connect an exchange and run presets yourself, but the strongest onboarding is assisted: we help choose a conservative first setup, budget caps, and the dashboard metrics to watch.
do you ever custody funds?
No. Your tokens and quote balance stay on your exchange. We accept read + spot-trade API keys only. Withdraw permission should never be enabled.
what makes this different from a traditional MM?
Traditional MM is often a black box: retainer, vague updates, limited execution visibility. This is a control plane: bots, limits, order-level audit, live reporting, and support when you need judgment.
can this replace my current MM?
For many small and mid-size token teams, yes. For complex tier-1 arrangements, probably not. The first use case is often running transparent liquidity ops alongside or after an expensive provider.
what will I see in the dashboard?
Orders, fills, cancels, rejects, fees, P&L, inventory movement, spread uptime, bot status, exchange health, and which strategy is burning budget.
why USDT billing?
Most token teams already operate in USDT. It avoids card and bank friction for crypto-trading infrastructure and keeps global onboarding fast.