Solana (SOLUSDT) is trading at $73.13 within a risk‑off macro regime, while technical and derivatives data present a mixed, non‑unified picture across timeframes.
1. Macro Context & Sentiment
- Market Regime: RISK OFF (Score: -0.60) with MMS Score 3.40 (neutral pattern) and a descriptive HOLD label.
- Alt Breadth (AB): BEAR, Value: -1.05 (Powerlvl1) – altcoins broadly weak.
- Stablecoin Pressure (SPI): BEAR, Value: 1.11 – stablecoin flows lean against risk.
- Leverage Pressure (LPI): MODERATE SHORT LEVERAGE, Value: -0.66, with Funding 4.5870% and OI Δ 0.26% in that block.
- FOP Index: NEUTRAL, Value: -0.01, with OI -1.28% and Fund 0.82.
- Dominance Price Conflict (DPC): NEUTRAL (-0.23).
- Crypto Equity Weight (CEW): DECOUPLED (-1.00) – crypto not closely tracking crypto‑equity proxies.
- BTC Correlation (4H): 0.89, Beta 1.51, Actual vs Expected Move +0.42% – SOL remains tightly coupled to BTC with historically amplified moves.
SOL ETF Flows:
- Recent days show net positive inflows: +3.0M (2026‑06‑18), +1.1M (2026‑06‑17), +2.7M (2026‑06‑15).
- Prior outflows: -4.4M (2026‑06‑11), -0.5M (2026‑06‑08).
- Flow Δ% values indicate high variability in ETF demand.
2. Price Structure, Trend & Key Levels
Support & Resistance:
- R3: $72.32, R2: $71.18, R1: $70.20
- S1: $68.08, S2: $66.94, S3: $65.96
- Current price $73.13 is above R3, with nearest supports in the $68–$66 area.
4H Trend:
- Symmetrical Triangle (LH + HL) between $74.69 (LH) and $67.92 (HL).
- 4H LTLB: Last Top $74.69, Last Bottom $67.92, RR Short 24.07, RR Long 0.04.
1D Trend:
- Downtrend (LH + LL) from $98.41 (HH) to $60.13 (LL), with latest LH at $76.09.
- 1D LTLB: Last Top $76.09, Last Bottom $67.92, RR Short 1.85, RR Long 0.54.
Volume Profile & NPOC (4H):
- POC: $65.68, VAH: $69.15, VAL: $61.52.
- NPOCs: $85.75, $84.49, $84.44, $76.38, $72.02, $68.38, $67.25 – unretested volume nodes above and below.
Volume Profile & NPOC (1D):
- POC: $83.43, VAH: $93.42, VAL: $80.10, HVN: $65.29.
- NPOCs: $83.72, $64.96 – key unretested daily volume levels.
Smart Money Concepts:
- FVG: 0.2% (Res) @ $74.58 – small fair value gap labeled as resistance.
- Events: No Signals.
3. EMAs, Fibonacci & Momentum Snapshot
4H EMAs:
- Price vs EMAs:
- EMA 8: $73.19 (-0.08%)
- EMA 20: $72.09 (+1.44%)
- EMA 50: $71.11 (+2.84%)
- EMA 200: $74.41 (-1.71%)
- Slopes: All short EMAs (8–100) positive, EMA 200 flat.
- Trend label: Bullish (20 > 50), Macro: Bearish (50 < 200).
1D EMAs:
- Price vs EMAs:
- EMA 8: $71.02 (+2.97%)
- EMA 20: $71.98 (+1.59%)
- EMA 50: $77.10 (-5.15%)
- EMA 200: $100.14 (-26.97%)
- Slopes: EMA 8/20 positive, EMA 50/100/200 negative.
- Trend label: Bearish (20 < 50), Macro: Bearish (50 < 200).
Fibonacci (4H):
- Key levels: 61.8% $72.59, 78.6% $74.13, 100% $76.09, 0% $66.94.
- Price $73.13 sits between 61.8% and 78.6%.
Fibonacci (1D):
- Key levels: 23.6% $69.16, 38.2% $74.75, 50% $79.27, 61.8% $83.79, 0% $60.13, 100% $98.41.
- Price is between 23.6% and 38.2%.
Oscillators (Scanner):
- 4H: RSI 66.1, Stoch 96.2, MFI 87.4 – elevated readings.
- 1D: RSI 49.8, Stoch 79.7, MFI 64.7 – neutral to moderately high.
- 1W: RSI 34.6, Stoch 29.1, MFI 46.4 – lower‑range weekly values.
Patterns & Squeeze:
- TTM Squeeze: Active on 1H and 1W.
- Candlestick: 4H Morning Bull at $74.14, 2 bars ago.
- Divergences:
- 4H: Bullish OBV (18‑06‑26).
- 1D: Bearish OBV (16‑06‑26) and Bullish OBV (06‑06‑26).
4. Derivatives, Orderflow & Funding
4H Orderflow & CVD:
- CVD Trend: Rising, Net Delta $6,660,076.
- Buy/Sell: 50.7% Buy / 49.3% Sell.
- Recent deltas alternate, with a large positive bar ($785,230) at $74.42.
1D Orderflow & CVD:
- CVD Trend: Falling, Net Delta $-11,960,316.
- Buy/Sell: 48.9% Buy / 51.1% Sell.
- Last two days show positive deltas despite overall negative net CVD.
4H Open Interest & Funding:
- OI Change (24h): +1.42%.
- Latest Funding: 0.000029%, Avg: 0.000008%.
- Market State: Neutral.
1D Open Interest & Funding:
- OI Change (24h): +7.92%.
- Latest Funding: 0.000045%, Avg: -0.000050%.
- Market State: Neutral.
Global Liquidations:
- No significant volatility peaks detected (24h).
5. Volatility & Full Technical Stats Highlights
4H Technical Stats (Key Points):
- Price: Close 74.42 (+0.38%), with volume down 25.61%.
- Volatility: ATR 1.41 (-2.83%), HV 24.41 (-2.87%), HV% 51.53 (-4.63%), Bollinger bandwidth 0.12 (+7.83%).
- Momentum: MACD 0.83, MACDSIGNAL 0.41, MACDHIST 0.42 – all increased.
- Trend Strength: ADX 22.94 (+5.16%), +DI 27.60, -DI 12.53.
- Money Flow: CMF 0.11 (+62.87%), CCI 122.75, CHOP 42.15 (-4.07%), ZSCORE20 1.66.
1D Technical Stats (Key Points):
- Price: Close 73.22 (+4.99%), volume up 20.33%.
- Volatility: ATR 3.96 (+1.69%), HV 80.89 (+4.92%), HV% 58.88 (+13.25%), Bollinger bandwidth 0.26 (-14.02%).
- Momentum: MACD -2.24, MACDSIGNAL -3.34, MACDHIST 1.10 – negative MACD but improving.
- Trend Strength: ADX 31.97 (-6.73%), +DI 23.39, -DI 24.34.
- Money Flow & Structure: CMF -0.08 (less negative), CCI 51.18, CHOP 52.47 (+9.48%), ZSCORE20 0.83.
Bottom Line
- The macro backdrop is risk‑off, with bearish alt breadth and bearish stablecoin pressure, while SOL’s ETF flows have recently been net positive but volatile.
- 4H structure shows a symmetrical triangle with short‑term bullish EMAs, whereas the daily timeframe remains in a downtrend with bearish macro EMAs.
- Volume profiles and NPOCs highlight significant unretested volume zones both above and below current price.
- Derivatives data shows rising open interest, neutral funding, rising 4H CVD, and negative net daily CVD, all under a high BTC correlation (0.89, beta 1.51).
- Oscillators and volatility metrics are mixed across timeframes, with active TTM squeezes and OBV divergences indicating a complex, non‑unidirectional environment.
⚠️ 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.

