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AVAX Market Structure Snapshot: Bearish Macro, High BTC Correlation, Elevated Volatility

Summary: In-depth AI technical analysis for AVAX.

AVAXUSDT trades at $9.27 within a bearish macro and technical environment, closely tracking BTC and showing high volatility and persistent net selling flows, while intraday metrics highlight active but structurally constrained price action.


1. Macro & Sentiment Overview

  • Market Regime: RISK OFF (Score -0.60), SMALLPOSITIONS strategy, with mixedsignals between crypto and macro.
  • Key Triggers: perp speculation warning, vix elevated watch, spx bullish trend, gold safe haven bid, macro crypto divergence.
  • Cross‑Asset Context:
    • VIX: 20.37, strong_up (+20.37%)
    • SPX: +2.46%
    • GOLD: +2.47%
    • BTC: -1.64%, ETH: +1.46%
    • TOTAL 1: -0.22%, TOTAL 2: +1.67%, TOTAL 3: +1.84%
  • Alt Breadth (AB): BEAR, -0.02
  • Stablecoin Pressure (SPI): BEAR, 0.19
  • Crypto Equity Weight (CEW): DECOUPLED (-1.00) — crypto is decoupled from equities.
  • Dominance Price Conflict (DPC): MILD ALIGNMENT (0.79).
  • ETF Dashboard: No explicit ETF data provided.

Takeaway: The dataset describes a risk‑off macro backdrop, with bearish alt breadth, bearish stablecoin pressure, and crypto decoupled from equities, even as equities and gold trade higher.


2. Price Structure, Trend & Key Levels

  • Live Price: $9.27

Support & Resistance

Level Price
R3 $11.76
R2 $10.62
R1 $9.90
S1 $8.04
S2 $6.89
S3 $6.18

AVAX trades below R1 ($9.90) and above S1 ($8.04), near the mid‑band of this range.

Trend

  • 4H: Downtrend (LH + LL) with a recent LL at $7.55 and LH at $9.48.
  • 1D: Broadening formation (HH + LL) with HH at $14.95 and multiple lower lows.
  • EMAs (4H):
    • Price slightly above EMA 8 ($9.11, +1.75%) and EMA 20 ($9.22, +0.58%).
    • Below EMA 50 ($9.80, -5.36%) and EMA 200 ($11.58, -19.98%).
    • Trend: Bearish (20 < 50), Macro: Bearish (50 < 200).
  • EMAs (1D):
    • Price below all EMAs:
      • EMA 8: -5.45%
      • EMA 20: -15.18%
      • EMA 50: -24.73%
      • EMA 200: -46.59%
    • All daily EMA slopes are negative, confirming a downward macro trend.

Fibonacci Levels

  • 4H Fib: Price near 50% ($9.30) between $7.55–$11.05, inside 38.2–61.8% ($8.89–$9.71).
  • 1D Fib: Price near 23.6% ($9.30) of the $7.55–$14.95 range, below 38.2% ($10.38).

Volume Profile & NPOC

4H Volume Profile:

Metric Level
POC $9.07
HVN $9.72
LVN $12.15
VAH $10.82
VAL $8.42
  • AVAX trades inside the 4H value area, slightly above POC ($9.07).

4H NPOCs:

  • $10.92, $9.93, $8.26 — untested prior POCs above and below current price.

1D Volume Profile:

Metric Level
POC $14.03
HVN $9.04
LVN $12.08
VAH $15.65
VAL $11.33
  • AVAX trades well below daily POC and VAL, near the HVN at $9.04.

1D NPOC: None active.


3. Volatility, Momentum & Oscillators

Volatility

4H:

  • ATR: 0.37 (slightly down -2.21%).
  • HV: 47.01 (+0.51%), HV%: 92.24 (+0.45%).
  • Volume: +313.01% on the latest bar (to 2.19M).

1D:

  • ATR: 0.89 (+9.98%).
  • HV: 102.80 (+18.89%), HV%: 79.29 (+45.91%).

Summary: Daily metrics show elevated and rising volatility, with large ranges and high HV, while 4H volatility is high but more stable.

Oscillators

TF RSI Stoch MFI
1H 57.0 71.4 68.3
4H 47.9 88.6 36.2
1D 32.6 36.5 18.1
1W 32.4 6.3 22.6
  • Short‑term (1H/4H): Mixed to moderately positive momentum.
  • Higher‑timeframe (1D/1W): Oscillators are near lower ranges, especially MFI and weekly Stoch.

MACD & Trend Filters

4H:

  • MACD: -0.21, Signal: -0.30, Histogram: 0.08 (less negative).
  • ADX: 50.63 (strong trend), +DI 18.45, -DI 27.14 (negative direction still dominant).
  • Supertrend DIR: -1 (bearish).

1D:

  • MACD: -1.04, Signal: -0.81, Histogram: -0.23 (less negative).
  • ADX: 46.32 (strong trend), +DI 5.18, -DI 39.50 (strong negative dominance).
  • Supertrend DIR: -1 (bearish).

Bands, VWAPs & Other Stats

4H:

  • Bollinger Width: 0.20 (down -7.65%), indicating narrowing bands.
  • VWAP cluster: DVWAP 9.19, WVWAP 9.24, MVWAP 9.30 — all near current price.
  • CMF: -0.17 (negative, but improving).
  • CCI: 25.23 (moved from negative to positive).
  • CHOP: 39.67 (more choppy).
  • ZSCORE20: 0.32 (slightly above mean).

1D:

  • Bollinger Width: 0.45 (slightly narrower).
  • VWAPs: DVWAP 8.77, WVWAP 9.22, MVWAP 9.30 — above or near price, drifting lower.
  • CMF: -0.11 (negative, improving).
  • CCI: -142.17 (deeply negative, but less extreme).
  • CHOP: 29.10 (less choppy, more directional).
  • ZSCORE20: -1.49 (price below 20‑period mean, less extreme than before).

TTM Squeeze & Candles

  • TTM Squeeze (1H): Active, indicating volatility compression on the hourly timeframe.
  • Japanese Candlestick Patterns: None detected in the dataset.

4. Correlation, Orderflow & CVD

BTC Correlation

  • Correlation (4H): 0.99
  • Beta: 0.94
  • Expected Move: 0.30%
  • Actual vs Expected: +0.68%
  • Lag Signal: JA
  • Catch‑up Probability (internal metric): 98.5%

AVAX is tightly coupled to BTC on 4H, with similar magnitude of moves and slightly larger realized movement than the model’s expectation.

Orderflow & CVD (4H)

  • CVD Trend: Falling
  • CVD Net Delta: $-5,080,664
  • Buy/Sell Ratio: 49.8% Buy / 50.2% Sell
  • CVD Divergence: Consistent

Recent 4H deltas are mostly negative, with one positive bar, indicating net aggressive selling over the short term.

Orderflow & CVD (1D)

  • CVD Trend: Falling
  • CVD Net Delta: $-68,551,263
  • Buy/Sell Ratio: 48.7% Buy / 51.3% Sell
  • CVD Divergence: Consistent

Daily CVD shows persistent net selling across recent sessions, with one notable positive day.


5. Derivatives, Leverage & Structural Metrics

Leverage & OI

  • Leverage Pressure (LPI): MODERATE SHORT LEVERAGE, Value -1.19.
  • Funding (LPI context): -3.1832%.
  • OI Δ (LPI context): -0.33%.
  • OI Delta (OID): NEUTRALLVL0, Value 0.23.

4H OI & Funding:

  • OI Change (24h): -0.13%.
  • Latest Funding: 0.000099%.
  • Avg Funding: -0.000042%.
  • Market State: Neutral.

1D OI & Funding:

  • OI Change (24h): +16.58%.
  • Latest Funding: -0.000086%.
  • Avg Funding: -0.000080%.
  • Market State: Neutral.

Overall, derivatives data show:
Moderate short‑leaning leverage,
Neutral funding near zero,
Small 4H OI decrease but larger 1D OI increase, all classified as Neutral in the provided labels.

Smart Money Concepts & Structure

  • FVG: 1.7% (Sup) @ $9.10 — a supportive fair value gap near current price.
  • Events: No Signals.
  • LTLB 4H: Last Top $9.48, Last Bottom $8.91, RR Short 1.59, RR Long 0.63.
  • LTLB 1D: Last Top $10.34, Last Bottom $8.24, RR Short 0.98, RR Long 1.02.
  • Divergences: Bullish volume divergence on 25‑01‑26 (1D); no 4H divergences.

Need‑to‑Know Summary

  • Macro: RISK OFF, with elevated VIX, SPX and GOLD up, and crypto decoupled from equities (CEW -1.00).
  • Alt Complex: Bearish breadth (AB -0.02) and bearish stablecoin pressure (SPI 0.19).
  • Trend: 4H downtrend, 1D broadening formation, all daily EMAs sloping down, with price well below EMA 20/50/200.
  • Levels: AVAX at $9.27 sits:
    • Between R1 $9.90 and S1 $8.04,
    • Near 4H POC $9.07, 1D HVN $9.04, and Fib 23.6–50% ($9.30).
  • Volatility: High and rising on 1D (HV 102.80, ATR 0.89), with 4H volatility elevated but stable.
  • Momentum: Short‑term oscillators are mixed to mildly positive, while daily/weekly oscillators are near lower ranges.
  • Flow: CVD is strongly negative on both 4H and 1D, with consistent net selling.
  • Derivatives: Moderate short leverage, neutral funding, small 4H OI dip but notable 1D OI increase, all labeled Neutral.
  • Correlation: AVAX is tightly coupled to BTC (0.99 correlation, 0.94 beta), indicating BTC behavior is a key driver of AVAX’s realized moves.
  • Structure: Price trades inside 4H value, below 1D value, with NPOCs at $9.93, $10.92, $8.26 and a supportive FVG at $9.10 shaping the current structural landscape.

⚠️ RISK WARNING & AI DISCLOSURE

  • This information is generated by Artificial Intelligence (AI) and complex algorithms. While advanced, these systems can contain errors or inaccuracies and are for educational purposes only.
  • Technical analysis provides no guarantees; this information is purely informative.
  • All discussed scenarios are hypothetical and do not constitute predictions or expectations.
  • Past performance is not an indicator of future results.
  • This is not financial advice and is not intended as a call-to-action for the reader.
  • No implicit direction is claimed, and no specific behavior of market participants is suggested.
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