Getting started
TALENTRE is a workspace for discovering tokens and examining the activity behind their price. This guide explains how to read the terminal, interpret its data and use research tools in context.
Start with a network, identify a token by its contract address and review the available market information. Then examine ownership and trading activity before considering an entry.
Networks and token identity
The landing presents Solana and Robinhood Chain as separate market choices. Each network has its own tokens, contracts and activity. Selecting a different network changes the market context; it does not transfer assets between networks.
A token name or ticker is not a unique identifier. Multiple tokens can share a name, logo or social profile. Use the complete contract address together with the selected network when comparing tokens across services.
When reviewing a quote or purchase amount, check its currency label. SOL, ETH and USD values describe different units and should not be compared as if they were equivalent.
The three token columns
- New
- The discovery feed for recent launches. Creation events, token metadata and market information can arrive separately. A newly discovered token may therefore appear before its image or first trading metrics are available.
- Active
- A view of tokens selected for trading activity. An older token can become active again. Placement here does not imply that the token was recently created or is about to migrate.
- Migrated
- Tokens identified as migrated by the connected data source. Migration generally describes a change in trading venue or liquidity setup, rather than a new token launch. It does not establish liquidity quality or token safety.
Compare tokens within the same network and observation period. A position in a column is a feed placement, not a recommendation or quality rating.
Reading a token card
Begin with the token name, contract and source label. These establish which asset you are viewing and where its information comes from. The image and social links provide additional context but should not be used as proof of authenticity.
The main value on a card may be market capitalization, fully diluted valuation or a launch value. Read its label and currency before interpreting the number. Other fields can show price, volume, liquidity, transaction counts or a bonding-curve indicator.
A dash indicates unavailable data. A reported zero means the source supplied a zero for that field or period. An approximate value should be treated as an estimate. These states have different meanings.
Price, valuation and liquidity
- Token price
- The quoted price per token from the available market source. It is an observation, not a guaranteed execution price. Low liquidity and recent trades can cause large changes.
- Market capitalization (MC)
- Conventionally calculated as price multiplied by circulating supply. Its reliability depends on the price and supply information supplied by the source.
- Fully diluted valuation (FDV)
- Price multiplied by the relevant total or maximum supply. FDV describes a different supply basis from circulating market capitalization. It does not represent money invested in the token.
- Liquidity
- The liquidity value reported for the relevant market or pool. It helps describe available trading depth but is not the amount you can necessarily sell without moving the price.
- Launch value
- A value associated with the launch event or initial market state. It can differ from a current market quote and may be denominated in the network currency rather than dollars.
For example, a quoted token price of $0.001 and a circulating supply of 100 million imply a market capitalization of $100,000. This calculation does not mean that $100,000 can be withdrawn from its liquidity pool.
Volume, transactions and changes
- Trading volume
- The value traded during the stated interval. Volume can include repeated trading by the same participants. It does not measure net investment or the number of unique buyers.
- Buy and sell counts
- Counts of transactions classified as buys or sells during the displayed interval. One wallet can generate many transactions, and counts alone do not show their size.
- Percentage change
- The change in quoted price over the labeled period. A 5m change needs a five-minute comparison point. Insufficient history can make this field unavailable.
- Bonding-curve progress
- Where supplied, an indicator of progress through a launch platform’s curve. Its definition depends on that platform. It is not a probability of success or a guaranteed time to migration.
Read these fields together. High volume with limited liquidity can indicate a very different market from similar volume in a deeper pool. A high transaction count can result from many small trades.
Age and data freshness
Launch age, pair age, migration age and time first seen refer to different events. A token can be old while its latest trading pair is new. Read the event label beside the time rather than treating every age as the token’s creation time.
Feed events, market quotes, images and social metadata may come from different requests or providers. Their arrival times can differ. The presence of a token in the feed does not mean that every field has finished loading.
A live connection describes feed availability, not a guarantee that every field is current. A price can also remain unchanged when no new price is reported. Compare the observation period, source and contract before concluding that two terminals disagree.
Search, filters and navigation
Use a column’s search field to narrow the visible tokens. Check active filters and the selected age range when an expected token is missing. Filters change what is displayed, not the underlying token history.
Where pause is available, use it to inspect a feed without new rows interrupting your view. Resume the column when you want to follow incoming activity again. Pausing a view does not pause trading on the network.
Use the available customization controls to adjust the workspace. Keep the fields most relevant to your workflow visible and verify the selected network after moving between views.
Wallet and developer research
- Wallet tracking and early buyers
- Help examine participation and the sequence of purchases where the required data is available. An early purchase does not establish privileged knowledge, and past wallet performance does not establish future results.
- Wallet clusters and insider detection
- Look for relationships or patterns among addresses. Funding links and coordinated activity can support investigation, but a relationship does not by itself prove common ownership.
- Developer history
- Provides context about activity attributed to a deployer or related address. Attribution and historical coverage must be considered before drawing conclusions about an individual or project.
- Holder distribution
- Describes how supply is concentrated across addresses. Pools, contracts, exchanges and related wallets can affect the interpretation of the distribution.
- Exit checks and token permissions
- Provide a place to examine factors that may affect selling or transfers when supported. A favorable result cannot guarantee that conditions will remain unchanged.
AI signals and social context
A signal draws attention to an observed condition. Review the condition, token, observation period and supporting data before interpreting it. A useful signal should explain what changed rather than rely on a label alone.
Separate measured facts from inferred relationships. A transaction count is an observation; a proposed link between wallets is an inference. Missing inputs or incomplete coverage reduce the strength of any conclusion.
Social activity can provide context for attention around a token, but engagement can be manipulated. Verify that linked accounts refer to the exact token contract. Similar names and copied profiles are not uncommon.
AI-assisted analysis does not remove the need to verify underlying information. No signal establishes a guaranteed entry, exit or return.
Execution and position controls
Where trading is enabled, check the contract, network, purchase amount and quote currency before confirming an order. The amount on a quick-buy control is part of the order configuration, not a valuation of the token.
- Slippage
- The price movement permitted by the order settings. A wider tolerance can allow a worse fill; a narrower tolerance can contribute to a failed execution.
- Network and execution fees
- Costs associated with submitting and executing a transaction. Review the actual quote and confirmation details rather than inferring the total cost from the token price.
- Pending orders
- Submission and confirmation are separate stages. Check the transaction status before attempting a duplicate action.
- Positions and session PnL
- Unrealized results depend on the valuation price. Realized results depend on completed trades and the accounting of costs. A displayed gain is not necessarily an amount available to withdraw.
- Copy trading and automated entries
- When available, these require explicit limits and execution settings. Following another wallet does not ensure an identical entry price, order size or outcome.
The landing page itself does not connect a wallet or submit transactions. Never enter a seed phrase or private key into a landing-page form or share it through social messages.
A practical review workflow
- Confirm identity. Select the network and verify the full contract address.
- Read the market. Check the price label, liquidity, volume and transaction interval. Identify missing fields.
- Review participation. Examine available holder, wallet and developer information.
- Validate context. Check signals and social links against their underlying evidence.
- Review execution. If trading is available, confirm the amount, fees, slippage and transaction status.
This workflow organizes the review process. It does not replace an independent assessment of the token or the risks of a trade.
Common questions
- Why does a token have no image?
- The launch event may arrive before its metadata, or the image host may be unavailable. Verify the contract rather than relying on a logo.
- Why are some values missing?
- The provider may not have indexed the market yet, the token may lack sufficient history, or the field may not be supported. An unavailable value should not be read as zero.
- Why is an old token in Active?
- The column describes activity rather than creation age. Older assets can attract new trading activity.
- Why does another terminal show different numbers?
- Check the contract, network, pool, currency and time interval first. Providers may use different coverage, supply figures or indexing schedules.
- Why can I see a tool but not use it?
- The navigation may include a product preview or a feature that is not enabled in the current release. Do not assume that a visible menu item performs a live operation.
Official updates
Follow @Talentre_ on X for product announcements and official links. Check the account handle before following a link or responding to a message.
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