Features

Every Tool You Need to
Trade Solana Systematically

Sniprion is not a simple sniper bot. It is a complete trading infrastructure that handles discovery, analysis, execution, risk management, and position management autonomously.

Discovery Engine

Find Tokens Before They Trend

Sniprion aggregates data from seven independent sources every 20 seconds: Birdeye trending feeds, DexScreener new pairs, Jupiter token list, PumpFun migrations, and three additional on-chain data streams. Every token is ranked by a composite Gem Score that weighs volume, liquidity, holder distribution, and momentum.

The result: you see tradeable candidates minutes before they appear on social media. No manual scanning. No missed opportunities.

  • 7+ data sources scanned every 20 seconds
  • Composite Gem Score ranks every token
  • Configurable filters for market cap, volume, and liquidity
  • Automatic deduplication prevents scanning the same token twice
discovery engine
[Discovery]
Cycle 847: scanned 14 tokens
Source: Birdeye Trending (4)
Source: DexScreener New (3)
Source: PumpFun Migrated (2)
Source: Jupiter List (5)
Filters: min vol $10K, min liq $5K
Passed: 3 tokens
Gem Score: TOKEN_A = 87/100
Gem Score: TOKEN_B = 72/100
Gem Score: TOKEN_C = 65/100
AI Risk Engine

Data-Driven Decisions, Zero Emotions

Before Sniprion commits any capital, every token passes through Google's Gemini AI for a comprehensive risk-reward analysis. The AI evaluates holder concentration (is one wallet holding 30%?), liquidity depth (can you sell without slippage?), creator history (has this deployer rugged before?), and social sentiment.

The output is a structured verdict — BUY, SKIP, or WAIT — with confidence scoring. This eliminates FOMO, reduces exposure to rug pulls, and ensures only high-probability setups receive capital.

  • Google Gemini AI evaluates every token pre-trade
  • Analyzes holder distribution, liquidity, and creator history
  • Structured BUY / SKIP / WAIT verdicts with confidence scores
  • Eliminates emotional trading and FOMO-driven entries
ai risk engine
[AI Analysis] TOKEN_A
Top holder: 8.2% (healthy)
Liquidity depth: $42K (sufficient)
Creator history: 3 prior tokens, 0 rugs
Volume trend: +340% (1h)
---
Verdict: BUY
Confidence: HIGH (0.87)
Strategy: Momentum
Execution Engine

Three Strategies. One Unified Pipeline.

Sniprion deploys three distinct strategies simultaneously, each designed for different market conditions:

Momentum detects volume acceleration and enters breakouts early. Mean Reversion identifies oversold conditions on tokens with proven liquidity and trades the bounce. Volume Spike catches abnormally high-volume bars that often precede significant price moves.

All three strategies compete for allocation. The one with the strongest signal wins. This diversification means Sniprion performs across trending, ranging, and volatile markets.

  • Sub-400ms execution from signal to on-chain confirmation
  • Jupiter V6 aggregation for best-price swaps
  • Dynamic slippage and priority fee adjustment
  • Pre-cached token accounts eliminate startup delays
execution engine
[Strategy] Momentum triggered
Signal: volume +420%, price +18%
[Execution]
Route: Jupiter V6 (2 hops)
Slippage: 1.5%
Priority fee: 0.0008 SOL
BUY: 0.25 SOL @ $0.00234
TX confirmed: 387ms
Position #7 opened
Risk Management

Capital Protection Is Not Optional

Sniprion treats risk management as a first-class concern, not an afterthought. The Live Safety Monitor watches every open position for sudden liquidity removal, whale dumps, and suspicious holder changes. The moment danger is detected, positions are closed within milliseconds.

The circuit breaker pauses all trading if losses exceed configurable thresholds per hour or per day — preventing drawdown spirals during adverse conditions. Position sizing is calibrated to your total balance, ensuring no single trade can meaningfully damage your portfolio.

  • Real-time rug pull detection with instant exit
  • Whale dump monitoring triggers emergency sells
  • Circuit breaker halts trading on excessive losses
  • Position sizing based on portfolio percentage
risk management
[Safety Monitor]
Watching 3 positions...
TOKEN_X: liquidity stable, holders +12
TOKEN_Y: price -3%, within SL range
TOKEN_Z: LIQUIDITY DROP -62%
EMERGENCY SELL triggered
Sold TOKEN_Z: -8% (saved ~52%)
---
Circuit breaker: 2/5 losses today
Technical Specifications

Under the Hood

Component Specification
Runtime Node.js 18+ (TypeScript compiled)
DEX Aggregation Jupiter V6 API with dynamic routing
AI Engine Google Gemini Pro (configurable model)
Execution Speed <400ms signal-to-chain
Discovery Sources Birdeye, DexScreener, Jupiter, PumpFun Migration + 3 more
Strategies Momentum, Mean Reversion, Volume Spike
Exit Profiles 6 AI-selected profiles (Scalp, Swing, Diamond, Cautious, Aggressive, Adaptive)
Position Management Multi-level partial TP, trailing stop, break-even lock
Safety Systems Rug pull detection, whale dump monitor, circuit breaker
Alerts Telegram (commands + notifications)
License Model One-time purchase, hardware-bound, HMAC-verified
Minimum VPS 1 vCPU, 1 GB RAM, Ubuntu 22.04

Ready to Automate Your Trading?

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