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Solana (SOL) Market Snapshot: Compressed, Balanced, and Tightly Coupled to BTC

Summary: In-depth AI technical analysis for SOL.

Solana’s SOLUSDT pair is trading at $77.49 in a multi-timeframe consolidation with compressed volatility, reduced leverage, and strong correlation to broader crypto and equity markets. The data describe a balanced, range-bound environment without directional indication.


1. Macro Context, Sentiment & Cross-Market Links

  • Regime: RISK OFF (Score: -0.60) with Strategy: WAIT and consolidation pattern.
  • Alt Breadth (AB): BEAR, -0.76, indicating weak participation across altcoins.
  • Stablecoin Pressure (SPI): BEAR, 0.78, consistent with cautious liquidity behavior.
  • Leverage Pressure (LPI): MODERATE SHORT LEVERAGE, -1.01, with funding -0.3756% and OI Δ -0.07%.
  • OI Delta (OID): NEUTRALLVL0, -0.22, showing no strong net build/unwind.
  • FOP Index: NEUTRAL, -0.13 (Fund -4.02, OI +0.37%, P -0.60%), reflecting balanced derivatives positioning.
  • Dominance Price Conflict (DPC): NEUTRAL (0.35).
  • Crypto Equity Weight (CEW): CORRELATED (1.00) – crypto is fully aligned with equities.
  • BTC Correlation (4H): 0.88, Beta 0.84, Actual vs Expected Move +0.10% – SOL is tracking BTC closely.

ETF Flows:

  • Mixed inflows and outflows:
    • Notable inflows: +5.8M (2026-07-21), +2.6M (2026-07-20), +1.7M (2026-07-16).
    • Outflows: -1.3M (2026-07-22), -0.7M (2026-07-15).
  • This indicates active but two-sided ETF participation, without a clear accumulation or distribution trend.

2. Price Structure, Trend & Key Levels

  • Live Price: $77.49.

Support & Resistance:

  • R1: $78.75, R2: $79.71, R3: $80.59
  • S1: $76.91, S2: $76.03, S3: $75.07

Price is between S1 and R1, inside a tight intraday band.

TTM Squeeze:

  • Active on 1h, 4h, 1d, 1w, signaling volatility compression across all major timeframes.

Smart Money Concepts:

  • FVG Support at $77.24, very close to current price.
  • 1D ADX🟢 (3 bars ago) – rising daily trend strength recently.
  • 1M ADX🔴 (1 bar ago) – weakening trend strength on monthly.

Oscillators:

  • RSI: Neutral across timeframes (44.0–54.5).
  • Stoch: Short-term low (1h 14.3), daily elevated (72.8).
  • MFI: Balanced (44.8–52.1), no extreme inflow/outflow.

4H Trend:

  • Symmetrical Triangle (LH + HL) – classic consolidation.
  • Price sits inside this structure, near its center.

Fibonacci – 4H:

  • Current price $77.49 lies between 78.6% ($77.83) and 61.8% ($76.88) of the recent swing, in the upper half of the range.

3. Multi-Timeframe Trend & Volume Profile

4H EMAs & Slope:

  • Price near EMA 20 ($77.51), slightly below EMA 8, above EMA 50/200.
  • Slopes are small and mostly positive, indicating mild upward tilt within a flat structure.
  • Trend: Bullish (20 > 50), Macro: Bullish (50 > 200) on 4H.

4H Volume Profile:

  • POC: $77.89, VAH: $78.34, VAL: $75.64.
  • Price is inside value and just below POC, indicating equilibrium around current levels.

4H LTLB & Divergence:

  • Last Top: $79.04, Last Bottom: $75.50 – both close to current price.
  • Bullish OBV divergence on 4H – volume accumulation stronger than price alone suggests.

1D Trend:

  • Uptrend (HH + HL) with recent high at $83.98 and higher lows.
  • Price is in the upper retracement band between 61.8% ($74.87) and 78.6% ($78.88) of the $60.13–$83.98 swing.

1D EMAs & Slope:

  • Price slightly above EMA 8/20/50, but well below EMA 200 ($93.59, -17.20%).
  • Trend: Bullish (20 > 50), Macro: Bearish (50 < 200) – medium-term recovery within a longer-term corrective context.

1D Volume Profile:

  • POC: $83.43, VAH: $90.09, VAL: $71.78, LVN: $75.09.
  • Price is inside value, below POC, above VAL, with a low-volume pocket at $75.09.

4. Derivatives, Orderflow & Volatility

Orderflow & CVD – 4H:

  • CVD Trend: Falling, Net Delta: -$1,021,427.
  • Buy/Sell Ratio: 50% / 50%.
  • CVD Divergence: Bearish (Price Up, CVD Down – Exhaustion).
  • Recent 4H deltas show one large positive spike followed by persistent negatives, indicating short-term net aggressive selling while price holds up.

Orderflow & CVD – 1D:

  • CVD Trend: Rising, Net Delta: $3,949,252.
  • Buy/Sell Ratio: 50.2% Buy / 49.8% Sell.
  • Recent daily deltas show several positive days followed by one negative day, indicating prior accumulation with recent pause.

Open Interest & Funding – 4H:

  • OI Change (24h): -2.19%, Funding near zero (latest -0.000077%).
  • Indicates modest position reduction and neutral funding.

Open Interest & Funding – 1D:

  • OI Change (24h): -13.67%, Funding near flat.
  • Reflects significant deleveraging and reduced speculative exposure.

Global Liquidations:

  • No significant volatility peaks (24h) – no major forced liquidation events.

Naked POCs:

  • 4H NPOCs: $81.50–$90.43 cluster above, plus $66.32 below.
  • 1D NPOCs: $81.94, $89.16, $91.17 above, $63.64 below.
  • These mark untested volume nodes that remain structurally relevant.

5. Technical Indicator Summary

4H Stats:

  • Volume: +32.85%, ATR: slightly up – more activity but still low volatility.
  • MACD: 0.38 (down), histogram more negativesoftening short-term momentum.
  • Bollinger Bandwidth: 0.03 (down)tight bands, compression.
  • ADX 24.10 (up), +DI up, -DI downmoderate and rising trend strength with recent upward tilt.
  • Supertrend: Bullish (dir=1) at $75.55.
  • CMF 0.09 (down) – still positive but weaker inflow.
  • CHOP 75.05: Very high – strongly choppy, range-bound.
  • HV/HV%: Slightly higher but low – muted realized volatility.

1D Stats:

  • Volume: +10.99%, ATR: down – more participation, less range.
  • MACD 0.50 (up), histogram less negativeimproving daily momentum.
  • Bollinger Bandwidth 0.12 (slightly down)continued compression.
  • ADX 11.85 (down), +DI ≈ -DIweak trend strength, no clear daily dominance.
  • Supertrend: Bullish (dir=1) at $70.09.
  • CMF -0.05: Mild net outflow.
  • CHOP 77.16: Very high – strong daily chop.
  • HV 32.54, HV% 0.71 (both down)declining realized volatility.

Need-to-Know Takeaways

  • Environment: RISK OFF macro, bearish alt breadth and stablecoin pressure, but neutral derivatives indices and no dominance conflict.
  • Correlation: SOL is strongly correlated with BTC (0.88) and fully correlated with equities (CEW 1.00).
  • Structure:
    • 4H symmetrical triangle and active TTM Squeeze on all timeframes.
    • High CHOP and tight Bollinger Bands on 4H and 1D confirm consolidation and volatility compression.
  • Trend:
    • 4H: Mildly bullish EMA stack (20 > 50 > 200) with moderate ADX.
    • 1D: Uptrend (HH + HL) with bullish near-term EMAs, but price still below EMA 200, indicating medium-term recovery inside a longer-term corrective backdrop.
  • Orderflow & Derivatives:
    • Daily CVD rising, 4H CVD falling with bearish divergenceshort-term exhaustion vs prior accumulation.
    • OI down on both 4H (-2.19%) and 1D (-13.67%), funding near zero – deleveraged, neutral derivatives landscape.
  • Levels:
    • Price near 4H POC ($77.89), daily value area, and FVG support at $77.24.
    • Nearby S/R: $76.91–$78.75 intraday band, with NPOCs above ($81.5–$90+) and below ($63–66) as structural references.

Overall, SOL’s market is balanced, tightly coiled, and heavily synchronized with BTC and broader risk assets, with no directional bias indicated by the current dataset.

⚠️ 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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