AVAX is trading at $6.65, with data showing a consolidating market inside a macro-bearish structure. Short-term metrics indicate stabilization and mild strength, while higher-timeframe signals and orderflow highlight persistent underlying weakness.
1. Regime, Sentiment & Cross-Market Context
- Regime: RISK OFF (Score: -0.40), Strategy label: WAIT, Pattern: consolidation.
- Alt Breadth (AB): BEAR, -0.61 – altcoins broadly weak.
- Stablecoin Pressure (SPI): BEAR, 0.39 – stablecoin flows lean against risk.
- Leverage Pressure (LPI): BALANCED, -0.11, with no OI Δ – no extreme leverage skew.
- OI Delta (OID): NEUTRALLVL0, 0.09 – derivatives positioning not strongly directional.
- FOP Index: NEUTRAL, 0.12, with slight OI (-0.09%) and price (-0.95%) softness.
- Dominance Price Conflict (DPC): NEUTRAL (0.07) – no strong dominance vs price conflict.
- Crypto Equity Weight (CEW): DECOUPLED (-1.00) – AVAX behavior decoupled from crypto-equity proxies.
- ETF Dashboard: No ETF-specific data provided in this dataset.
Macro backdrop: TOTAL market caps (1–3) are up, while BTC (-0.55%) and ETH (-0.92%) are slightly down, with VIX up strongly (+16.50%), indicating a cautious, mixed risk environment.
2. Structure, Trend, Levels & Volatility
Price & Key Levels
- Price: $6.65
- Support & Resistance:
- R1: $6.79, R2: $6.93, R3: $7.16
- S1: $6.42, S2: $6.19, S3: $6.05
- AVAX trades between R1 and S1, in a mid-range consolidation band.
Patterns & Trend
- 4H: Symmetrical Triangle (LH + HL) – price compression.
- 1D: Broadening Formation (HH + LL) – wider medium-term range.
- Trend Labels (both 4H & 1D):
- Trend: Bearish (20 < 50)
- Macro: Bearish (50 < 200)
EMAs & Positioning
4H EMA vs Price:
- Price slightly above EMA 8 ($6.60), EMA 20 ($6.58), EMA 50 ($6.61).
- Price below EMA 200 ($6.83) by -2.68%.
- Short EMAs have mildly positive slopes, EMA 200 is slightly negative.
1D EMA vs Price:
- Price near EMA 8 ($6.61) and EMA 20 ($6.66).
- Price well below EMA 50 ($7.12, -6.66%) and EMA 200 ($10.04, -33.76%).
- Short EMAs slope slightly up, long EMAs slope down.
This combination shows short-term stabilization within a longer-term downtrend.
Fibonacci & Volume Profile
4H Fibonacci:
- 50%: $6.68, 38.2%: $6.59, 61.8%: $6.78.
- Price $6.65 sits between 38.2% and 50%, near the mid-Fib band.
1D Fibonacci:
- 23.6%: $6.58, 38.2%: $7.14, 50%: $7.59.
- Price is just above 23.6% and below 38.2%, in the lower quartile of the broader swing.
4H Volume Profile:
- POC: $6.71, VAL: $6.56, VAH: $6.97.
- AVAX trades inside the 4H value area, slightly below POC – consistent with local fair-value consolidation.
1D Volume Profile:
- POC: $9.03, VAL: $6.52, VAH: $10.49.
- AVAX is well below daily POC and VAH, just above VAL, indicating trading in the lower region of the broader daily range.
Naked POCs:
- 4H NPOCs: $6.12, $5.88
- 1D NPOC: $5.90
- All NPOCs lie below current price, marking unrevisited high-activity zones.
Volatility & TTM Squeeze
- TTM Squeeze: Active on 1D and 1W – higher-timeframe volatility compression.
- 4H:
- ATR: 0.12, stable.
- Bollinger Bandwidth: 0.06, -7.99% – bands contracting.
- HV: 27.23, HV%: 62.96, slightly higher.
- 1D:
- ATR: 0.35, slightly lower.
- Bollinger Bandwidth: 0.12, -2.19% – mild contraction.
- HV: 53.70, HV%: 5.82, both up.
Overall, AVAX is in a compressed volatility state with slightly rising realized volatility, consistent with choppy consolidation.
- Japanese Candlestick Patterns: None detected for AVAX in this dataset.
3. Orderflow, CVD, Open Interest & Funding
Orderflow & CVD
4H:
- CVD Trend: Falling, Net Delta: $-875,213
- Buy/Sell Ratio: 49.0% Buy / 51.0% Sell
- CVD Divergence: Consistent
1D:
- CVD Trend: Falling, Net Delta: $-1,255,891
- Buy/Sell Ratio: 49.2% Buy / 50.8% Sell
- CVD Divergence: Bearish (Price Up, CVD Down – Exhaustion)
Orderflow data shows persistent net selling and falling CVD, with price not fully aligning with the selling pressure, especially on 1D where a bearish divergence is flagged.
Open Interest & Funding
4H Block:
- OI Change (24h): +8.34%
- Funding: 0.000100%, Avg: -0.000002%
- Market State: Neutral
1D Block:
- OI Change (24h): -23.58%
- Funding: 0.000100%, Avg: 0.000025%
- Market State: Neutral
Funding is near-flat, and leverage is balanced (LPI -0.11). OI shows short-term increase on 4H but larger contraction on 1D, indicating reduced positioning over the broader window with some recent re-engagement.
4. Smart Money Concepts, Correlation, Divergences & Oscillators
Smart Money Concepts
- FVG: 0.0% (Res) @ $6.66 – fair value gap resistance almost exactly at current price.
- 4H Price Action Events:
- CHoCH 🟢 at $6.68 (2 bars ago) – local structural shift.
- ADX 🟢 at $6.66 (4 bars ago) – recent uptick in trend intensity.
- 1M Price Action Event:
- ADX 🔴 at $6.66 (1 bar ago) – weaker trend intensity on monthly.
BTC Correlation
- Correlation (Pearson): 0.53
- Beta: 0.91
- Expected Move: -0.35%
- Actual vs Expected: -0.45%
- Lag Signal: NEE
- Catch-up Probability (model): 100.0%
AVAX shows a moderate positive correlation with BTC and similar move magnitude, with recent performance slightly more negative than BTC-based expectations.
Divergences
- 4H: Bearish OBV divergence (13-07-26) – volume not confirming price strength.
- 1D: No generic divergence signals, but CVD shows bearish divergence (price up, CVD down).
Oscillator Scanner
| TF | RSI | Stoch | MFI |
|---|---|---|---|
| 1H | 57.2 | 37.3 | 63.2 |
| 4H | 54.8 | 76.4 | 57.1 |
| 1D | 49.3 | 51.6 | 67.7 |
| 1W | 32.8 | 15.1 | 49.5 |
- Short-term (1H–4H–1D): Oscillators are near-neutral to mildly positive, with MFI elevated.
- Weekly: RSI 32.8 and Stoch 15.1 indicate longer-term weakness, while MFI 49.5 is neutral.
5. Technical Stats & Microstructure Highlights
Trend & Choppiness
- 4H ADX: 18.80 (weak trend), CHOP: 52.18 (moderate chop).
- 1D ADX: 25.13 (moderate trend), CHOP: 70.55 (strongly choppy).
These confirm range-like, non-trending conditions, especially on the daily timeframe.
Momentum & Mean Reversion
- MACD (4H): 0.00, histogram 0.03 – momentum has moved from negative toward neutral/positive.
- MACD (1D): -0.10, histogram 0.02 – still negative but improving.
- ZSCORE20 (4H): 1.42, 1D: 0.33 – price is slightly above its 20-period mean, more so on 4H.
Money Flow & VWAPs
- CMF (4H): 0.06, 1D: 0.13 – positive money flow on both timeframes, though slightly weaker than prior.
- DVWAP: 4H: 6.67, 1D: 6.61 – both near current price, indicating trading close to volume-weighted averages.
- WVWAP & MVWAP: Near-flat, reflecting stable higher-timeframe VWAP anchors around current levels.
Global Liquidations
- No significant volatility peaks in 24h, indicating no major liquidation-driven dislocations.
Need-to-Know Summary
- AVAX trades at $6.65 in a risk-off, consolidating market, with bearish alt breadth and bearish stablecoin pressure, but balanced leverage and neutral derivatives indices.
- Structure shows 4H symmetrical triangle and 1D broadening formation, with active TTM squeezes on 1D and 1W, pointing to compressed but potentially unstable volatility.
- EMAs and trend labels confirm a macro-bearish environment, even as short-term EMAs and oscillators indicate stabilization and mild strength around current levels.
- AVAX trades inside 4H value but well below daily POC and VAH, in the lower region of the broader daily range, with unrevisited NPOCs below.
- Orderflow and CVD show falling CVD, negative net delta, and bearish divergences, especially on 1D, indicating price resilience not fully backed by aggressive buying.
- Technical stats highlight choppy, non-trending conditions, contracting Bollinger Bands, and rising realized volatility, consistent with a market waiting for resolution rather than trending decisively.
⚠️ 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.

