Case Overview
The Weapon 2 case features a defined hierarchy dominated by low-tier items, supported by a stable mid-tier segment and a limited number of higher-tier entries. The distribution is relatively narrow, with minimal variation across most outcomes and a clear separation at the upper end. This structure leads to frequent repetition within a constrained value range. Market positioning indicates steady liquidity for commonly obtained items with established demand patterns.
Value and Risk Factors
Expected value is influenced by the high frequency of low and mid-tier results and the restricted probability of premium outputs. Variance remains low to moderate due to the compressed distribution, though probabilistic skew persists. Key factors include rarity compression, demand durability, and the limited spread between median and peak values. The case reflects a predictable EV profile with constrained deviation.

