SOLUSDT trades at $74.24 within a consolidation regime under a RISK OFF macro backdrop. The data shows mixed signals across timeframes, strong BTC linkage, and neutral‑to‑moderate derivatives activity, without a clear directional dominance.
1. Macro Context, Sentiment, and Flows
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Market Sentiment & Strategy (MMS V2):
- Regime: RISK OFF (Score: -0.40)
- Pattern: Consolidation, Strategy: WAIT
- Macro context:
- VIX: 18.58 (+18.58%), strong up.
- TOTAL 1/2/3: -1.25% / -0.45% / -0.27% – broad crypto slightly negative.
- BTC: +0.02%, ETH: -0.04% – essentially flat.
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Alt Breadth (AB): BEAR, -0.01 (Powerlvl1) – mild negative breadth.
- Stablecoin Pressure (SPI): BEAR, 0.10 – stablecoin dynamics lean against risk assets.
- Leverage Pressure (LPI): BALANCED, -0.35, Funding 6.6510%, OI Δ 0.10% – no extreme leverage skew.
- OI Delta (OID): NEUTRALLVL0, 0.16 – small net OI change.
- FOP Index: NEUTRAL, -0.05 (Fund -4.69, OI 0.44%, P 0.37%) – derivatives positioning mixed and close to neutral.
- Dominance Price Conflict (DPC): NEUTRAL (-0.25) – no strong conflict between dominance and price.
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Crypto Equity Weight (CEW): DECOUPLED (-1.00) – crypto behavior decoupled from crypto‑equity proxies.
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SOL ETF Flows:
- 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).
- Pattern: Alternating accumulation and reduction phases.
2. Derivatives, Orderflow, and BTC Correlation
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BTC Correlation (4H & 1D block):
- Correlation: 0.94, Beta: 1.05 – SOL moves closely with BTC, slightly amplified.
- Expected Move: -0.09%, Actual vs Expected: +0.33% – modest deviation.
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4H Orderflow & CVD:
- CVD Trend: Falling, Net Delta: $-10.88M.
- Buy/Sell Ratio: 48.6% Buy / 51.4% Sell – slight sell dominance.
- Recent deltas show alternating positive and negative flows, with the largest bar negative ($-2.36M).
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1D Orderflow & CVD:
- CVD Trend: Rising, Net Delta: $4.59M.
- Buy/Sell Ratio: 50.3% Buy / 49.7% Sell.
- Flagged bullish CVD divergence (price down, CVD up – absorption).
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4H Open Interest & Funding:
- OI Change (24h): +2.15%.
- Latest Funding: 0.000030%, Avg: -0.000013% – essentially flat.
- OI has risen from 8.834M to 9.061M with funding near zero.
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1D Open Interest & Funding:
- Headline OI Change (24h): -15.48%, but tabular OI rises from 8.843M to 9.059M (noted discrepancy).
- Funding remains near flat (-0.000022% latest, 0.000016% avg).
- Market State: Neutral on both 4H and 1D.
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Global Liquidations: No significant volatility peaks in the last 24h.
3. Price Structure, Key Levels, Volume Profile, and SMC
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Live Price: $74.24
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Support & Resistance:
- R1: $75.59, R2: $77.40, R3: $78.38
- S1: $72.80, S2: $71.82, S3: $70.01
- Price sits between R1 and S1.
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4H Volume Profile:
- POC: $77.77, VAH: $78.31, VAL: $75.85, HVN: $76.57, LVN: $75.13 – main value area above current price.
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1D Volume Profile:
- POC: $83.43, VAH: $90.09, VAL: $70.12, HVN: $65.29, LVN: $75.09 – daily POC significantly above current price.
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Naked POCs (NPOC):
- 4H: $85.75, $84.49, $84.44, $82.11, $81.50, $66.32.
- 1D: $81.94, $63.64.
- Untested volume nodes exist both above and below current price.
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Smart Money Concepts:
- FVG: 1.1% (Res) @ $74.97 – fair value gap near current price.
- Price Action Events: ADX🔴 at $74.14 on 1D (2 bars ago) and 1M (1 bar ago).
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LTLB Structure:
- 4H: Last Top $76.45, Last Bottom $75.50, both above current price; RR Short -0.59, RR Long 0.00.
- 1D: Last Top $78.88, Last Bottom $73.39; RR Short 0.12, RR Long 8.63.
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TTM Squeeze: Active on 1D and 1W, signaling volatility compression on higher timeframes.
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Japanese Candlestick (1D):
- Dcconfirm Bear at $77.97, 3 bars ago – a completed bearish pattern.
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Divergences:
- 4H: Bullish divergence on OBV (22‑07‑26).
- 1D: No additional divergence signals beyond CVD.
4. Trend, EMAs, Oscillators, and Fibonacci
- 4H Trend: Labeled Ascending Triangle (EH + HL).
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1D Trend: Labeled Uptrend (HH + HL), with recent high $83.98 and low $73.39.
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EMAs (4H):
- Price below all EMAs: EMA8 $74.82, EMA20 $75.84, EMA50 $76.43, EMA200 $76.32.
- All slopes slightly negative.
- Trend: Bearish (20 < 50), Macro: Bullish (50 > 200).
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EMAs (1D):
- Price below all EMAs: EMA8 $76.25, EMA20 $76.48, EMA50 $76.62, EMA200 $93.22.
- All slopes negative, with EMA8 steepest.
- Trend: Bearish (20 < 50), Macro: Bearish (50 < 200).
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Fibonacci (4H):
- Range $73.39–$78.88; current price between 0% ($73.39) and 23.6% ($74.69).
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Fibonacci (1D):
- Range $60.13–$83.98; current price between 50% ($72.06) and 61.8% ($74.87).
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Oscillator Scanner:
- RSI: 1H 41.6, 4H 32.4, 1D 42.9, 1W 39.8 – all below 50.
- Stoch: 1H 95.7 (high), 4H 13.7, 1D 10.1, 1W 42.5 – intraday contrast.
- MFI: 1H 56.4, 4H 18.7, 1D 43.7, 1W 44.8 – 4H notably low.
5. Volatility and Liquidity Metrics
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4H Volatility & Liquidity:
- ATR: 0.93 (slightly lower).
- Bollinger Bandwidth: 0.08 (slightly higher).
- HV: 14.75, HV%: 15.51 – modest realized volatility increase.
- Volume: 113k, down 37.61% vs prior bar.
- CMF: -0.18, slightly more negative.
- CCI: -119.59, still negative but less extreme.
- ZSCORE20: -1.54, price below 20‑period mean but closer than before.
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1D Volatility & Liquidity:
- ATR: 2.91, nearly flat.
- Bollinger Bandwidth: 0.11, slightly narrower.
- HV: 34.02, HV%: 1.12 – realized volatility higher, HV% up 36.59%.
- Volume: 1.45M, up 7.68% on a down day.
- CMF: -0.09, slightly less negative.
- CCI: -127.80, sharply more negative.
- ZSCORE20: -1.66, price further below 20‑period mean.
- CHOP: 79.60, indicating a very choppy environment.
Key Takeaways
- SOL is in a consolidation regime within a RISK OFF macro context, with mildly bearish alt breadth and stablecoin pressure but neutral derivatives positioning.
- BTC correlation is very high (0.94) with beta 1.05, meaning SOL’s structure is tightly linked to BTC’s behavior.
- 4H CVD is falling with negative net delta, while 1D CVD is rising with a bullish divergence flag, highlighting a timeframe mismatch in orderflow.
- Price trades below all major EMAs on both 4H and 1D, with bearish EMA relationships and negative slopes, even as the 1D trend label still references an uptrend structure.
- Volume profiles and NPOCs show significant volume nodes above (81–85) and below (63–66) current price, while current trading occurs below 4H and 1D POCs.
- Volatility is moderate and rising on the daily scale, with TTM Squeeze active on 1D and 1W and CHOP very high, underscoring a compressed but choppy environment without a dominant directional trend in the provided 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.

