Case Overview
The Recoil case features a moderately wide range of items spanning low and mid tiers, supported by a smaller subset of premium outputs. The distribution curve is gradual, enabling smoother progression between tiers and limiting sharp value discontinuities. Most outcomes are concentrated within a defined mid-range, while high-tier items remain infrequent but distinct. Market positioning indicates stable liquidity driven by consistent demand patterns.
Value and Risk Factors
Expected return is shaped by the high frequency of mid-tier items and the restricted probability of premium outputs. Variance is moderate, as the distribution reduces extreme clustering while maintaining probabilistic imbalance. Influencing factors include tier density, demand consistency, and the proportional contribution of rare items to overall EV. The case reflects a balanced EV structure with moderate dispersion.

