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AVAXUSDT Market Structure Summary: Compressed, Range‑Bound Around $6.51

Summary: In-depth AI technical analysis for AVAX.

AVAXUSDT is trading at $6.51 in a multi-timeframe consolidation with a risk-off regime, compressed volatility, and neutralized derivatives conditions. The market is tightly centered around key volume and support/resistance levels, with no dominant directional signal in the provided data.


1. Macro Context & Sentiment

  • Regime: RISK OFF (Score: -0.60) with Strategy: WAIT and MMS Score: 5.80, labeled as consolidation.
  • Alt Breadth (AB): BEAR, -0.51 (Powerlvl1) → weak altcoin breadth.
  • Stablecoin Pressure (SPI): BEAR, 0.49 → stablecoin flows classified as pressuring risk assets.
  • Leverage Pressure (LPI): MODERATE SHORT LEVERAGE, -0.65, with Funding 4.3012% and OI Δ +0.11%.
  • OI Delta (OID): NEUTRALLVL0, -0.05, indicating no strong net OI shift.
  • FOP Index: NEUTRAL, -0.09 (Fund -0.08, OI +0.05%, P -0.88%).
  • Dominance Price Conflict (DPC): NEUTRAL (-0.19).
  • Crypto Equity Weight (CEW): CORRELATED (1.00) → AVAX moves in line with the broader crypto-equity composite.
  • ETF Dashboard: No explicit ETF data provided in the dataset.

Macro backdrop: VIX is strong_up at 17.05 (+17.05%), while BTC and ETH are modestly negative, aligning with the risk-off label despite mild strength in TOTAL 1 (+0.47%).


2. Trend, Volatility Compression & Key Levels

  • Price: $6.51, exactly at S1.
  • Support & Resistance:
    • R1: $6.66, R2: $6.75, R3: $6.81
    • S1: $6.51, S2: $6.45, S3: $6.36
  • TTM Squeeze: Active on 1h, 4h, 1d, 1w → multi-timeframe volatility compression.
  • Trend (4H): Labeled Uptrend (HH + HL), with recent highs at $6.77 and $6.69, and higher lows at $6.34, $6.37, $6.39.
  • Trend (1D): Also labeled Uptrend (HH + HL), with $7.12 (HH) and $6.28 (HL), but:
    • EMA Trend: Bearish (20 < 50) and Macro Bearish (50 < 200) on both 4H and 1D.
  • Fibonacci (4H): Price sits near 38.2% ($6.50) of the recent swing; 50% ($6.56) aligns with 4H POC.
  • Fibonacci (1D): Price is near 23.6% ($6.45) of the larger swing; 38.2% ($6.93) is higher above.
  • EMA Positioning:
    • 4H: Price is ~1–1.25% below EMAs 8/20/50 and -3.50% below EMA 200.
    • 1D: Price is slightly below EMAs 8/20, and well below EMA 50 (-6.84%) and EMA 200 (-33.59%).
  • Japanese Candlestick Patterns: None detected.

Overall, AVAX trades just below short EMAs, well below long EMAs, and within a compressed, range-bound structure.


3. Volume Profile, Smart Money Concepts & Structural Levels

  • Smart Money Concepts:
    • FVG (Res): 0.1% @ $6.55, a small resistance fair value gap just above price.
    • ADX events at $6.55 on 4H and 1M highlight that level as structurally relevant.
  • Volume Profile (4H):
    • POC: $6.56, HVN: $6.57
    • VAL: $6.39, VAH: $6.70
    • LVN: $6.75
  • Volume Profile (1D):
    • POC: $6.52 (almost exactly current price)
    • HVN: $6.00, LVN: $6.59
    • VAH: $9.03, VAL: $5.89
  • Naked POCs (NPOC):
    • 4H: $6.62, $6.12, $5.88
    • 1D: $5.90
  • LTLB Structure (4H):
    • Last Top: $6.64 (-1.33%)
    • Last Bottom: $6.39 (+2.46%)
  • LTLB Structure (1D):
    • Last Top: $6.83 (-3.85%)
    • Last Bottom: $6.28 (+4.60%)
  • Divergences: None detected on 4H or 1D.
  • Global Liquidations: No significant volatility peaks in the last 24h.

AVAX is trading on top of the daily POC ($6.52) and near the 4H POC ($6.56), reinforcing a value-area-centered consolidation.


4. Orderflow, CVD, Open Interest, Funding & BTC Correlation

  • BTC Correlation (4H):
    • Correlation: 0.52, Beta: 0.76
    • Expected Move: -0.40%, Actual vs Expected: +0.06%
    • Lag Signal: NEE, Catch-up Probability: 100.0%
  • Orderflow & CVD (4H):
    • CVD Trend: Falling, Net Delta: -$298,241
    • Buy/Sell Ratio: 49.2% Buy / 50.8% Sell
  • Orderflow & CVD (1D):
    • CVD Trend: Falling, Net Delta: -$1,780,615
    • Buy/Sell Ratio: 47.9% Buy / 52.1% Sell
  • Open Interest & Funding (4H block):
    • OI Change (24h): -1.75%
    • Latest Funding: -0.000010%, Avg Funding: 0.000028%
    • Market State: Neutral
  • Open Interest & Funding (1D block):
    • OI Change (24h): -10.52%
    • Latest Funding: -0.000005%, Avg Funding: 0.000029%
    • Market State: Neutral

Orderflow shows consistent net selling (falling CVD), while OI is declining and funding is near flat, describing a neutral, de-leveraging derivatives environment.


5. Oscillators & Technical Stats

  • Oscillator Scanner:
    • 1H: RSI 43.4, Stoch 29.9, MFI 40.8
    • 4H: RSI 46.6, Stoch 50.2, MFI 47.3
    • 1D: RSI 46.9, Stoch 52.4, MFI 58.2
    • 1W: RSI 33.2, Stoch 16.3, MFI 41.8
  • Most readings are mid-range, with weekly oscillators on the lower side.
  • 4H Technicals:
    • Volume +26.95%, ATR -1.97%, HV -0.48%, HV% -1.82%
    • MACD positive but flattening, ADX 12.28 (low, falling)
    • CHOP 61.72, indicating choppy, range-bound conditions.
  • 1D Technicals:
    • Volume -19.38%, ATR -3.25%, HV -2.13%
    • MACD -0.08 but improving; ADX 24.13 (moderate, stable)
    • CHOP 81.55, signaling strong range behavior.
    • CMF 0.02, still positive but sharply weaker than prior.

These metrics collectively describe low-trend, high-chop, compressed volatility with oscillators clustered near neutral.


Need‑to‑Know Summary

  • AVAX is at $6.51, sitting on S1 and almost exactly at the daily POC ($6.52) and near 4H POC ($6.56).
  • The environment is labeled RISK OFF, with bearish alt breadth and bearish stablecoin pressure, yet derivatives metrics (FOP, OID, funding) are largely neutral.
  • TTM Squeezes are active on all major timeframes, and CHOP is high on both 4H and 1D, confirming a tight, range-bound consolidation.
  • Trend structure shows 4H and 1D swing uptrends, but EMA and macro trends remain bearish, with price well below the 50 and 200 EMAs on the daily chart.
  • Orderflow and CVD are consistently negative, with a slight sell majority and declining OI, indicating a de-leveraging, sell-tilted but not extreme derivatives landscape.
  • No candlestick patterns or divergence signals are present, and BTC correlation (0.52, beta 0.76) places AVAX in a moderately BTC-linked, but not highly amplified, behavior regime.

Overall, the dataset portrays AVAX in a compressed, neutral-to-defensive market structure, anchored around key volume levels, with no single dominant directional driver in the current data.

⚠️ 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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